Financials
Value 202020212022202320242025 TTM Cash from investing activities -326.44 M-546.55 M-261.31 M38.9 M-58.35 M111.37 M 94.58 M Cash from financing activities 261.25 M85.41 M-77.14 M-47.78 M-4.85 M-14.79 M -48.45 M Free cash flow 140.63 M538.58 M253.52 M27 M21.06 M-101.64 M -90.11 M