Financials
Value 202020212022202320242025 TTM Cash from investing activities -61.2 M-32.2 M-828.8 M-43.6 M-77.6 M-99.4 M -110.8 M Cash from financing activities 370.3 M-242.5 M114.8 M-99.6 M682.8 M3.99 B 4.68 B Free cash flow -169.2 M1.79 B-379.3 M204.9 M-759.5 M-3.28 B -4.17 B