Financials
Value 2022202320242025 TTM Cash from investing activities -194 K-2.74 M-420 K-785 K -1.09 M Cash from financing activities 199.81 M93.15 M322.19 M545.77 M 530.26 M Free cash flow -235.74 M-96.26 M-316.91 M-535.5 M -517.92 M