Financials
Value 202020212022202320242025 TTM Cash from investing activities —-38.67 M-175.24 M40.87 M-46.68 M180.37 M 93.93 M Cash from financing activities —374.03 M244.79 M300.95 M78.66 M-98.51 M 132.81 M Free cash flow —126.49 M-230.69 M-665.28 M-77.89 M-271.39 M -434.29 M