Financials
Value 202020212022202320242025 TTM Cash from investing activities -5.66 M-5.24 M-8.83 M-9.15 M-9.57 M-11.16 M -11.16 M Cash from financing activities 324 K17.6 M-6.08 M-5.7 M-9.92 M-11.14 M -11.14 M Free cash flow 857 K3.7 M3.63 M5.92 M14.39 M18.19 M 18.19 M