Financials
Value 202020212022202320242025 TTM Cash from investing activities -31.64 M-92 M168.41 M-200.36 M-426.75 M-128.24 M -148.45 M Cash from financing activities -74.91 M-32.93 M-393.21 M-211.93 M-143.72 M-217.77 M -174.07 M Free cash flow 173.36 M272.06 M281.3 M319.64 M352.08 M354.86 M 328.76 M