Financials
Value 202020212022202320242025 TTM Cash from investing activities 31.18 M514.02 M2.79 B576.57 M212.37 M237.18 M 237.18 M Cash from financing activities 254.98 M250.13 M1.78 B559.53 M144.89 M202.98 M 202.98 M Free cash flow 6.09 M13.56 M46.49 M2.31 M37.85 M47.81 M 47.81 M