Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.57 M-2.55 M-688.68 K702.45 K-290.01 K-184.17 K -184.59 K Cash from financing activities 22.37 M28.23 M-4.04 M-1.32 M1.3 M1.45 M 3.55 M Free cash flow -11.98 M-14.44 M-15.66 M-4.6 M-642.81 K-1.64 M -2.13 M