Financials
Value 202020212022202320242025 TTM Cash from investing activities -181.44 M-58.19 M-156.81 M-128.48 M-306.24 M-353.98 M -353.98 M Cash from financing activities 128.33 M-13.04 M5.02 M-3.94 M73.77 M-28.79 M -28.79 M Free cash flow 53.42 M82.96 M163.65 M109.35 M255.11 M402.89 M 402.89 M