Financials
Value 202020212022202320242025 TTM Cash from investing activities —-313.3 M-39.5 M-64.7 M-43.7 M-694.6 M -694.6 M Cash from financing activities 751.39 M239 M-7 M22.6 M-3.3 M775.9 M 775.9 M Free cash flow -945.35 K05.2 M58.1 M50.3 M106.9 M 106.9 M