Financials
Value 202020212022202320242025 TTM Cash from investing activities 20.22 M-61.63 M-2.38 M-235.69 M-263.67 M-276.45 M -2.16 B Cash from financing activities -56.34 M79.37 M-5.71 M264.97 M315.81 M289.79 M 2.19 B Free cash flow 35.76 M-17.6 M8.05 M-21.83 M-52.67 M5.71 M -15.83 M