Financials
Value 202020212022202320242025 TTM Cash from investing activities -156.73 K-9.93 M-1.82 M-23.68 M-83.41 M-655.92 M -655.92 M Cash from financing activities 347.5 K17.79 M1.47 M48.58 M84.91 M496.84 M 496.84 M Free cash flow -1.23 M-9.29 M-7.49 M-12.14 M-9.82 M-502.82 M 146.77 M