Financials
Value 20212022202320242025 TTM Cash from investing activities —0-29.91 M-10.11 M-56.58 M -505.11 M Cash from financing activities —625 K53.92 M272.79 M446.59 M 461.69 M Free cash flow —-969.68 K-45.28 M-57.59 M-14.32 M -88.5 M