Financials
Value 202020212022202320242025 TTM Cash from investing activities -113.65 M-118.5 M-255.33 M-216.88 M-194.44 M233.49 M — Cash from financing activities 68.91 M-51.42 M38.47 M-32.72 M-66.14 M60.6 M — Free cash flow 93.39 M147.14 M194.25 M296.91 M365.68 M467.35 M —