Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.06 M-2.55 M-489.55 K-1.1 M-407.9 K-292.12 K -3.19 M Cash from financing activities 19.43 M14.7 M18.13 M18.13 M13.4 M8.05 M 11.06 M Free cash flow 10.08 M-15.94 M-9.47 M-7.36 M-14.12 M-12.83 M -17.21 M