Financials
Value 202020212022202320242025 TTM Cash from investing activities 512.16 K-87.86 M-175.94 M-165.6 M-12.15 M-16.05 M -14.27 M Cash from financing activities 189.5 K624.95 M4.97 M33.04 M37.59 M-2.68 M 12.3 M Free cash flow -705.99 K-63.54 M-53.93 M-75.3 M2.81 M56.07 M -30.52 M