Financials
Value 2022202320242025 TTM Cash from investing activities -119.27 M-308.63 M-113.26 M-1.18 B -1.18 B Cash from financing activities 341.18 M111.36 M-149.02 M723.14 M 723.14 M Free cash flow 105.82 M-80.85 M131.18 M298.23 M 298.23 M