Financials
Value 202020212022202320242025 TTM Cash from investing activities -243.52 M-96.85 M-265.65 M-203.03 M-35.18 M-18.19 M -18.19 M Cash from financing activities -62.55 M-242.85 M22.62 M-122.4 M-253.91 M-169.11 M -169.11 M Free cash flow 352.16 M325.27 M254.39 M298.98 M287.56 M263.22 M 263.22 M