Financials
Value 202020212022202320242025 TTM Cash from investing activities 11.04 M505.47 M74.04 M113.64 M70.28 M-10.31 M -10.31 M Cash from financing activities -85.13 M-505.24 M-123.39 M-10.25 M-164.47 M-5.56 M -5.56 M Free cash flow -9.47 M-28.47 M-39.68 M-13.77 M-16.23 M-12.66 M -12.66 M