Financials
Value 202020212022202320242025 TTM Cash from investing activities 10.86 M16.17 M2.11 M1.95 M715 K108 K 108 K Cash from financing activities 134 K37.28 M292 K2.9 M38.37 M13.19 M 13.19 M Free cash flow 23.44 M23.89 M28.98 M21.24 M36.95 M26.39 M 26.39 M