Financials
Value 202020212022202320242025 TTM Cash from investing activities -42.46 M-238.5 M-100.26 M-125.33 M-136.4 M-837.17 M — Cash from financing activities 181.41 M11 K-29.81 M10 K-48.35 M642.21 M — Free cash flow 60.25 M132.26 M119.54 M123.53 M235.27 M245.61 M -125.81 M