Financials
Value 20202021202220232024 TTM Cash from investing activities 451.94 K-11.27 M-1.09 M1.43 M5.09 M 18.82 M Cash from financing activities 449.72 K8.02 M-888.04 K3.54 M3.95 M 22.7 M Free cash flow 3.25 M47.43 K5.51 M10.84 M82 K 6.02 M