Financials
Value 20202021202220232024 TTM Cash from investing activities -842.33 K-711.62 K-396.03 K-375.87 K-378.3 K -296.9 K Cash from financing activities 12.8 M3.87 M1.85 M03.1 M — Free cash flow -6.18 M-7.43 M-3.65 M-3.19 M-3 M -2.23 M