Financials
Value 20202021202220232024 TTM Cash from investing activities 1 314-22.99 K-211.26 K54.15 K7.13 M -32.76 K Cash from financing activities 346.86 K10.35 M-1.16 M-434.05 K706.09 K -172.08 K Free cash flow 1.95 M-2.25 M-3 M-3.55 M-4.68 M -4.74 M