Financials
Value 20202021202220232024 TTM Cash from investing activities 1.65 M-973.56 K-1.57 M-1.08 M-573.85 K -276.45 K Cash from financing activities 20.62 M22.86 M6.94 M28.98 M8.66 M 13.23 M Free cash flow 14.52 M-21.83 M-16.85 M-19.15 M-26.47 M -19.9 M