Financials
Value 202020212022202320242025 TTM Cash from investing activities 240.69 M1.07 B3.1 B380.81 M155.47 M380.81 M 380.81 M Cash from financing activities 373 M1.14 B3.23 B424.99 M48.58 M-684.43 M 328.84 M Free cash flow 115.33 M146.5 M152.51 M197.39 M57.23 M291.58 M 332.08 M