Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.61 M-7.62 M-8.77 M1.43 M7.55 M5.31 M 5.31 M Cash from financing activities 726.24 K2.7 M3.56 M-5.45 M-13.97 M-10.22 M -10.22 M Free cash flow 4.21 M4.6 M5.16 M5.6 M4.93 M4.93 M 4.93 M