Financials
Value 20212022202320242025 TTM Cash from investing activities -427.3 K-6.11 M-612.29 K-67.53 K-7.43 B -17.17 B Cash from financing activities 720.46 K7.91 M1.3 M325 K7.95 B 18.37 B Free cash flow -503.66 K-1.63 M-809.72 K-593.46 K-4.15 M -320.44 M