Financials
Value 202020212022202320242025 TTM Cash from investing activities 211 K225 K143 K46 K30.07 M8.15 M 8.15 M Cash from financing activities 9.14 M9.14 M9.14 M9.21 M9.21 M9.21 M 9.21 M Free cash flow 1.67 M791 K4.71 M4.23 M3.31 M5.93 M 5.93 M