Financials
Value 20212022202320242025 TTM Cash from investing activities —-1.74 M-329.98 M20.41 M103.97 M 110.5 M Cash from financing activities —548.52 M-9.55 M144.41 M25.57 M 25.8 M Free cash flow —-77.09 M-90.07 M-126.35 M-135.31 M -150.06 M