Financials
Value 202020212022202320242025 TTM Cash from investing activities -244.44 K-157.02 K6 3750-22.66 M14.43 M 14.43 M Cash from financing activities 5 M17.8 M8.62 M5.97 M15.5 M265.65 K 265.65 K Free cash flow -7.34 M-10.95 M-10.43 M-9.56 M8.55 M-10.07 M -10.04 M