Financials
Value 20202021202220232024 TTM Cash from investing activities -243.09 K—-1.79 M-1.34 M-42.07 K -36.18 M Cash from financing activities 2.1 M—-267.73 K-1.07 M4.14 M 46.62 M Free cash flow -1.55 M—-1.98 M-6.28 M1.79 M -21.32 M