Financials
Value 202020212022202320242025 TTM Cash from investing activities -45.75 K-326.46 K-310.79 K-2.03 M259.98 K-7.06 M -7.06 M Cash from financing activities 16.78 M13.17 M376.86 K9.71 M20.93 M11.43 M 11.43 M Free cash flow -9.08 M-9.87 M-10.35 M-6.32 M-4.65 M-17.84 M -16.25 M