Financials
Value 202020212022202320242025 TTM Cash from investing activities 246.97 K648.24 K-1.37 M-8.01 M-8.82 M-8.42 M -8.42 M Cash from financing activities 522.48 K24.42 K-12.71 M-13.66 M-14.34 M-17.6 M -17.6 M Free cash flow 5.37 M10.78 M9.22 M6.02 M17.62 M17.18 M 17.18 M