Financials
Value 202020212022202320242025 TTM Cash from investing activities 131 K109 K39 K6.75 M6.08 M951 K 951 K Cash from financing activities 35.27 M3.31 M5.02 M12.71 M20.34 M7.35 M 7.35 M Free cash flow 11.94 M12.33 M12.46 M14.53 M13.22 M14.82 M 14.82 M