Financials
Value 202020212022202320242025 TTM Cash from investing activities -205.22 K105.38 K74.68 K638.55 K-153.72 K-67.3 K — Cash from financing activities 500 K205.5 K489.88 K291.6 K1.31 M2.68 M — Free cash flow -286.45 K-377.58 K-534.07 K-862.69 K-980.37 K-3.12 M —