Financials
Value 202020212022202320242025 TTM Cash from investing activities -85.03 M16.11 M-130.92 M-232.49 M-1.16 B-606.9 M -536.82 M Cash from financing activities -252.84 M-253.03 M-72.54 M-77.92 M733.55 M-18.07 M -155.89 M Free cash flow 194.98 M139.51 M-36.42 M11.55 M70.56 M119.64 M 244.52 M