Financials
Value 202020212022202320242025 TTM Cash from investing activities -42.6 M-115.83 M-230.88 M-39.1 M-85.86 M6.28 M — Cash from financing activities 137.82 M531.41 M-23.46 M12.12 M68.77 M-332 K — Free cash flow -30.88 M-53.18 M-65.22 M-58.97 M-21.81 M-29.96 M —