Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.16 M-27.15 M-2.11 M-2.29 M-2.35 M-651.99 K — Cash from financing activities 761.28 K40.24 M-969.96 K2.07 M7.22 M478.46 K — Free cash flow -708.12 K-5.58 M-4.17 M-3.27 M-12.11 M84.41 K 311.74 K