Financials
Value 202020212022202320242025 TTM Cash from investing activities —-95.68 M-123.22 M-31.11 M-7.38 M-23.46 M -12.76 M Cash from financing activities —966.57 M-6.72 M291.45 M80.73 M161.4 M 115.77 M Free cash flow —-339.76 M-383.06 M-278.18 M-70.19 M-107.58 M -92.47 M