Financials
Value 202020212022202320242025 TTM Cash from investing activities -88.71 M-108.28 M-259.65 M-380.35 M-280.33 M-335.03 M — Cash from financing activities 126.01 M-17.93 M-59.98 M-11.82 M-37.16 M288.75 M — Free cash flow 15.97 M258.04 M345.44 M381.96 M266.85 M296.34 M -476.28 M