Financials
Value 202020212022202320242025 TTM Cash from investing activities -275.35 M-54.37 M7.62 M14.09 M-426.5 M-225.39 M — Cash from financing activities 146.43 M67.08 M-70.92 M-80.18 M-37.98 M94.75 M — Free cash flow 43.22 M24.82 M268.14 M305.78 M193.84 M42.44 M —