Financials
Value 202020212022202320242025 TTM Cash from investing activities ———-4 914-10.32 M-198 M -214.31 M Cash from financing activities —42.46 K49.04 K13.27 M155.12 M261.21 M 175.87 M Free cash flow —-51.63 K-48.85 K-15.97 M-21.54 M-80.24 M -112.2 M