Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.29 M-29.43 M173.98 M-109.98 M-29.61 M976.42 M 969.82 M Cash from financing activities 1.84 B-50.56 M-75.37 M-94.22 M39.57 M-685.75 M -790.97 M Free cash flow -838.6 M-472.45 M-349.21 M-31.61 M-13.55 M-213.41 M -88.06 M