Financials
Value 20202021202220232024 TTM Cash from investing activities 289.06 K-407.8 K-52.5 K-293.88 K-233.47 K -571.52 K Cash from financing activities 30.53 K1.09 M2.45 M456.32 K5.15 M 3.86 M Free cash flow -75.85 K-1.09 M-133.59 K-2.98 M-3.77 M -2.79 M