Financials
Value 20212022202320242025 TTM Cash from investing activities -179.53 M-425.81 M-308.17 M-335.38 M-278.59 M — Cash from financing activities -115.43 M327.3 M77.75 M131.16 M-59.73 M — Free cash flow 364.59 M143.39 M163.1 M145.42 M395.14 M —