Financials
Value 20202021202220232024 TTM Cash from investing activities 8 354-376.72 K-1.5 M-281.3 K-3 M 7.56 M Cash from financing activities 4.65 M21.27 M1.46 M-2.42 M22.48 M 6.93 M Free cash flow 4.32 M-15.34 M481.87 K10.01 M-21.83 M -25.63 M