Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.61 M-253.14 K-113.33 K-231.1 K-78.34 K-326.64 K -326.64 K Cash from financing activities -2.69 M-2.28 M-1.23 M-3.78 M-4.07 M-3.89 M -3.89 M Free cash flow 2 M3.64 M4.8 M4.52 M4.33 M4.47 M 4.47 M