Financials
Value 202020212022202320242025 TTM Cash from investing activities -177.72 M-265.69 M-389.9 M-194.09 M-44.36 M-138.7 M -90.72 M Cash from financing activities 274.75 M236.07 M252.82 M229.73 M46.04 M23.33 M 57.77 M Free cash flow 27.38 M34.74 M40.67 M22.15 M32.47 M34.97 M 31.34 M