Financials
Value 202020212022202320242025 TTM Cash from investing activities -210.41 M-156.97 M-180.15 M-230.02 M-241.49 M-350.56 M — Cash from financing activities 59.19 M-8.76 M25.54 M-10.48 M-26.83 M71.57 M 202.07 M Free cash flow 172.44 M137.53 M153.74 M237.56 M277.78 M-79.99 M -89.28 M