Financials
Value 202020212022202320242025 TTM Cash from investing activities -37.51 K-22.6 K-427.85 K-275.72 K27.55 M0 0 Cash from financing activities 5.3 M-208.18 K-35.17 K1.41 M-12.98 M19.73 M 19.73 M Free cash flow -2.21 M-2.59 M-1.98 M-2.07 M-14.28 M-13.38 M -13.38 M