Financials
Value 202020212022202320242025 TTM Cash from investing activities -154.6 M-68.2 M-224 M-180.1 M-242.9 M-221.6 M -190.2 M Cash from financing activities 1.33 B1.99 B-91.3 M649.3 M68.4 M125.2 M 16.5 M Free cash flow -1.3 B-706.5 M-830.5 M-440.8 M-296.3 M-365.9 M -123.6 M