Financials
Value 202020212022202320242025 TTM Cash from investing activities 764.55 K840.9 K6.61 M-5.63 M-1.26 M-2.96 M -2.2 M Cash from financing activities 21.52 M4.45 M5.02 M2.04 M4.4 M4.08 M 18.99 M Free cash flow -4.09 M-10.05 M-17.94 M-4.99 M-5.25 M-1.77 M -721.47 K