Financials
Value 20202021202220232024 TTM Cash from investing activities -4.59 M-7.92 M-88.19 M-5.8 M-3.43 M -51.63 M Cash from financing activities -701.91 K17.24 M13.56 M1.34 M6.09 M 54.57 M Free cash flow 3.82 M-21.46 M47.44 M-813 K-8.41 M -7.45 M