Financials
Value 20202021202220232024 TTM Cash from investing activities 287.33 K-552.94 K-644.89 K-1.09 M-1.84 M -8.16 M Cash from financing activities 8.43 M4.06 M8.75 M11.16 M9.15 M 49.03 M Free cash flow 3.94 M-7.13 M-8.52 M-9.84 M-5.33 M -16.48 M