Financials
Value 202020212022202320242025 TTM Cash from investing activities 309.42 M-849.56 M-1.74 B-55.22 M-294 M32.48 M 32.48 M Cash from financing activities 1.05 B1.27 B184.1 M-371.98 M386.76 M9.97 M 8.18 M Free cash flow -275.22 M48.78 M778.7 M190.84 M132.25 M147.01 M 147.01 M