Financials
Value 202020212022202320242025 TTM Cash from investing activities -70.9 K-1.4 M-22.09 M19.77 M74 K-93 K -47 K Cash from financing activities 17.34 M547.41 K220 K81 K297 K14.76 M 14.76 M Free cash flow -3.58 M-4.34 M-10.79 M-9.51 M-8.53 M-13.78 M -13.78 M