Financials
Value 202020212022202320242025 TTM Cash from investing activities 2.06 M—-94.05 M-78.01 M-91.16 M-1.37 B -2.02 B Cash from financing activities 1.07 M—89.98 M119.87 M335.21 M4.94 B 5.09 B Free cash flow -398.83 K—-34.07 M4.26 M-24.42 M-123.18 M -197.26 M