Financials
Value 2022202320242025 TTM Cash from investing activities -208.77 M-90.36 M-566.6 M-166 M -175.19 M Cash from financing activities -16.73 M-63.22 M-144.47 M-222.46 M -716.41 M Free cash flow -625.52 M-1.75 M417.77 M516.35 M 576.67 M