Financials
Value 202020212022202320242025 TTM Cash from investing activities -206.32 M-1.12 B-310.87 M-920.76 M-227.66 M25.84 M -567.28 M Cash from financing activities 40.02 M422.93 M117.82 M604.86 M-443.2 M-513.03 M -331.17 M Free cash flow 401.32 M518.25 M-164.29 M-146.56 M176.78 M236.59 M 421.9 M