Financials
Value 20202021202220232024 TTM Cash from investing activities 16.73 K-1.13 M-11.15 M-3.76 M-528.24 K -1.09 M Cash from financing activities 1.84 M32.64 M5.18 M4.43 M12.18 M 16.37 M Free cash flow 718.34 K-5.18 M-19.13 M-15.62 M-10.67 M -14.41 M