Financials
Value 202020212022202320242025 TTM Cash from investing activities -867.31 K-438.06 K-401.96 K-11.52 K-291.72 K-137.25 K -137.25 K Cash from financing activities 624.18 K4.6 M-1.77 M73.14 K27.35 K-294.03 K -294.03 K Free cash flow -909.57 K-687.89 K-811.51 K-699.69 K-758.08 K11.01 K 11.01 K