Financials
Value 20202021202220232024 TTM Cash from investing activities 770.94 K-25.07 K-4.03 M-1.06 M211.8 K -591.95 K Cash from financing activities 217.48 K1.2 M6.29 M463.53 K597.05 K 3.94 M Free cash flow 47.31 K226.66 K-1.91 M-1.92 M-1.58 M -1.79 M