Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.62 M9.63 M9.39 M-66.4 M-32.49 M-71.91 M — Cash from financing activities 90.54 M-3.67 M-234.29 M-201.63 M-271.19 M-234.66 M — Free cash flow 838 K107.96 M302.63 M356.42 M405.3 M465.22 M —