Financials
Value 202020212022202320242025 TTM Cash from investing activities -16.54 M-41.68 M-402.22 M-77.07 M35.51 M209.63 M 209.63 M Cash from financing activities 49.59 M127.95 M345.06 M-156.84 M-83.77 M-268.63 M -268.63 M Free cash flow -75.84 M38.31 M-244.96 M84.71 M-3.78 M-42.63 M -37.13 M