Financials
Value 20202021202220232024 TTM Cash from investing activities -8.76 M19.85 M6.91 M1.85 M-6.1 M 4.35 M Cash from financing activities 38.67 M73.53 K5.55 M13.07 M12.57 M 9.35 M Free cash flow -11.92 M-19.52 M-12.27 M-12.98 M-8.98 M -7.99 M