Financials
Value 202020212022202320242025 TTM Cash from investing activities 856.25 K-17.4 M-42.18 M-23.04 M-18.36 M18.55 M — Cash from financing activities 1.5 M57.8 M77.23 M-10.81 M-51.51 M8.05 M — Free cash flow -720.66 K0-36.2 M-15.09 M11.6 M6.5 M 238.21 M