Financials
Value 202020212022202320242025 TTM Cash from investing activities -143.27 M-93.64 M-304.37 M-107.59 M-157.51 M-292.63 M -159.58 M Cash from financing activities 44.68 M31.93 M31.99 M-626.11 M-107.61 M-1.41 B -1.17 B Free cash flow 405.07 M378.51 M548.73 M598.32 M739.46 M992.72 M 1.09 B