Financials
Value 202020212022202320242025 TTM Cash from investing activities -135.3 M-216.85 M-164.72 M-100.92 M-18.76 M— — Cash from financing activities -96.88 M17.82 M13.57 M-34.59 M-75.49 M— — Free cash flow 211.55 M263.87 M280.39 M215.79 M181.17 M— —