Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.2 M-878 K-3.19 M-2.43 M3.4 M14.84 M 1.5 M Cash from financing activities 822 K-3.11 M3.73 M2.88 M7.41 M14.35 M 12.62 M Free cash flow -8.58 M-1.09 M-2.9 M-3.82 M2.03 M-352 K 3.87 M