Financials
Value 202020212022202320242025 TTM Cash from investing activities -456.02 M-46.36 M-558.8 M-66.39 M66.44 M-264.44 M -264.44 M Cash from financing activities 626.7 M111.5 M320.05 M102.44 M-84.3 M228.58 M 228.58 M Free cash flow -94.54 M163.74 M45.31 M19.53 M-1.76 M-5.77 M -5.77 M