Financials
Value 202020212022202320242025 TTM Cash from investing activities 537.83 K-3.89 M-1.06 M-857.76 K2.84 M-1.71 M -1.71 M Cash from financing activities 3.38 M-1 0475.32 M423.78 K-9.63 M6.05 M 6.05 M Free cash flow 3.95 M3.21 M-6.5 M-205.68 K5.09 M-5.21 M -5.21 M