Financials
Value 20202021202220232024 TTM Cash from investing activities 65.76 M702.17 M241.16 M146.22 M43.74 M 37.25 M Cash from financing activities 185.2 M565.4 M56.42 M60.24 M51.43 M 47 M Free cash flow 26.08 M-106.36 M-168.4 M-61.15 M47.85 M 49.33 M