Financials
Value 202020212022202320242025 TTM Cash from investing activities —-92.13 M-346.08 M12.02 M-98.33 M-347.4 M -354.52 M Cash from financing activities —799.94 M2.04 M7.37 M256.68 M1.07 B 1.42 B Free cash flow —-71.79 M-106.54 M-98.87 M-48.89 M-165.52 M -161.63 M