Financials
Value 20202021202220232025 TTM Cash from investing activities -45.19 M-64.88 M-47.2 M-34.81 M106.41 M — Cash from financing activities -33.9 M279.02 M129.76 M-262.12 M118.56 M — Free cash flow 30.15 M-212.8 M-82.96 M335.48 M180.18 M 85.85 M