Financials
Value 202020212022202320242025 TTM Cash from investing activities -170.66 M-158.04 M-168.88 M-166.09 M-236.53 M-233.22 M -178.16 M Cash from financing activities -43.77 M-80.67 M-176.06 M-233.7 M91.94 M-122.38 M -216.01 M Free cash flow 187.29 M258.06 M216.22 M389.42 M143.93 M358.11 M 393.7 M