Financials
Value 20202021202220232024 TTM Cash from investing activities 304.06 M-15.23 M110.55 M85.72 M116.45 M 48.66 M Cash from financing activities -305.61 M-1.79 M-167.18 M-71.98 M-132.25 M -73.25 M Free cash flow 24.37 M27.88 M22.42 M-10.02 M9.11 M 19.53 M