Financials
Value 202020212022202320242025 TTM Cash from investing activities -26.56 M-38.08 M-71.77 M-58.06 M-50.12 M-61.8 M -71.66 M Cash from financing activities -56.44 M-315.01 M-73.58 M-627.49 M-440.75 M-642.63 M -446.62 M Free cash flow 310.68 M-37.3 M183.42 M1.08 B362.72 M287.28 M 359.54 M