Financials
Value 20212022202320242025 TTM Cash from investing activities -3.93 M-13.28 M-33.31 M-5.77 M23.11 M 10.68 M Cash from financing activities 13.61 M5.83 M32.7 M2.25 M-18.49 M -18.49 M Free cash flow -8.46 M-12.27 M-31.94 M-4.75 M929.47 K 929.47 K