Financials
Value 202020212022202320242025 TTM Cash from investing activities -19.33 M-63.04 M-31.2 M-10.76 M3.66 M5.98 M 5.98 M Cash from financing activities 11.96 M41.84 M4.99 M941.64 K-535.43 K-567.32 K -567.32 K Free cash flow -2.05 M-25.57 M-61.95 K1.91 M-13 M-7.06 M -7.57 M