Financials
Value 202020212022202320242025 TTM Cash from investing activities -536.48 K-691.77 K-1.18 M-2.16 M-715.52 K-537.13 K -537.13 K Cash from financing activities 894.94 K2.52 M-1.18 M1.32 M902.34 K1.33 M 1.33 M Free cash flow 267.96 K1.45 M-1.29 M-2.12 M-1.31 M-1.79 M -1.79 M