Financials
Value 202020212022202320242025 TTM Cash from investing activities -65.67 M-304.08 M-146.16 M-303.7 M-193.51 M-127.84 M -125.77 M Cash from financing activities -46.53 M158.14 M125.03 M236.05 M13.89 M-260.63 M -267.35 M Free cash flow 49.43 M-199.3 M-326.74 M-297.33 M-8.95 M665.72 M 914.84 M