Financials
Value 202020212022202320242025 TTM Cash from investing activities -425.11 M181.46 M-67.43 M-113.36 M-278.07 M-455.95 M -158.93 M Cash from financing activities 382.91 M-113.66 M100.38 M-174.44 M142.06 M201.09 M -39.09 M Free cash flow 205.65 M-94.63 M3.28 M162.92 M166.18 M218.03 M 215.51 M