Financials
Value 202020212022202320242025 TTM Cash from investing activities -21.44 K-15.19 K-8 527-2.97 M2.97 M-15.12 K -15.12 K Cash from financing activities 19.71 M4.57 M-8 5442.56 M233.77 K786.34 K 786.34 K Free cash flow -7.01 M-4.03 M-6.04 M-5.33 M-2.92 M-2.93 M -2.92 M