Financials
Value 202020212022202320242025 TTM Cash from investing activities 118.8 K-340.68 K2.59 M-36.16 M-16.88 M-6.51 M -7.36 M Cash from financing activities 705.33 K-19.77 M301.15 K19.91 M8.53 M-4.64 M -4.58 M Free cash flow 2.07 M4.25 M5.93 M1.8 M5.14 M6.79 M 12.26 M