Financials
Value 202020212022202320242025 TTM Cash from investing activities -124.02 M-272.88 M-269.3 M-350.36 M-403.9 M-134.51 M — Cash from financing activities 241.55 M243.99 M-65.68 M44.53 M-5.81 M-64.57 M — Free cash flow 99.87 M178.97 M197.52 M318.52 M248.73 M301.18 M —