Financials
Value 202020212022202320242025 TTM Cash from investing activities 9.7 M129.4 M-60.5 M-46.4 M12.7 M-27.7 M -28.6 M Cash from financing activities -223.6 M-140.9 M-248.7 M-73.6 M-149.1 M-36.1 M -64.1 M Free cash flow 190.2 M136.5 M154.6 M147.6 M112.9 M95.9 M 91.2 M