Financials
Value 202020212022202320242025 TTM Cash from investing activities 42.87 M260.71 M586.08 M732.91 M126.87 M198.47 M 164.38 M Cash from financing activities 15.44 M-161.21 M-436.97 M-675.09 M-125.31 M-198.99 M -160.69 M Free cash flow -47.31 M-136 M-117.92 M-53.06 M-53.55 M-61.23 M -30.14 M