Financials
Value 20212022202320242025 TTM Cash from investing activities —0-1.92 M-930.87 K-644.29 K -644.29 K Cash from financing activities —267.38 K761.02 K314.24 K-268.26 K -268.26 K Free cash flow —-644.47 K871.04 K-2.18 M28.34 K 28.34 K