Financials
Value 202020212022202320242025 TTM Cash from investing activities -156.29 M-325.38 M-39.99 M-178.75 M-46.52 M-209.44 M -209.44 M Cash from financing activities 200.93 M264.13 M7.42 M79.6 M5.58 M-45.5 M -45.5 M Free cash flow -15.04 M35.05 M40.68 M84.03 M154.08 M130.12 M 130.12 M