Financials
Value 20202021202220232024 TTM Cash from investing activities 909.75 K14.56 M7.1 M1.87 M3.3 M -80 K Cash from financing activities 31.11 M34.62 M15.86 M11.6 M1.24 M 5.52 M Free cash flow 726.05 K8.22 M2.53 M8.74 M1.45 M 5.75 M