Financials
Value 2022202320242025 TTM Cash from investing activities -74.17 M-168.35 M-145.92 M-82.18 M -44.01 M Cash from financing activities 134.68 M244.21 M156.63 M136.71 M 49.82 M Free cash flow -56.63 M-64.06 M-13.24 M-107.99 M -63.44 M