Financials
Value 202020212022202320242025 TTM Cash from investing activities 267 K219 K14.73 M330 K60 K90 K 90 K Cash from financing activities 30.02 M27.87 M9.42 M3.68 M10.96 M6.94 M 6.94 M Free cash flow 16.27 M17.66 M15.03 M17.69 M9.53 M10.72 M 10.72 M