Financials
Value 202020212022202320242025 TTM Cash from investing activities -365.69 M-593.28 M-491.42 M-721.88 M5.58 M-220.43 M -243.81 M Cash from financing activities 164.6 M285.47 M33.12 M212.92 M-201.3 M-280.9 M -220.83 M Free cash flow -73.73 M177.58 M-460.61 M-466.26 M74.16 M-18.48 M -34.22 M