Financials
Value 202020212022202320242025 TTM Cash from investing activities —-39.56 K00-3 9171.7 M — Cash from financing activities 503.52 K20.34 M17.4 M1.63 M5.04 M2.63 M — Free cash flow -729.39 K-14.94 M-13.88 M-9.68 M-4.27 M-2.77 M -1.01 M