Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.97 M-62.81 M1.1 B308.56 M-215.84 M834.1 M 834.1 M Cash from financing activities -49.52 M-159.34 M-1.2 B-234.64 M-125.62 M-910.59 M -910.59 M Free cash flow 105.6 M155.72 M135.18 M72.83 M-402.71 M-33.57 M 61.81 M