Financials
Value 20202022202320242025 TTM Cash from investing activities —-146.71 M-83.46 M-111.13 M-152.24 M — Cash from financing activities —-72.8 M-104.53 M-78.06 M-87.26 M — Free cash flow 164.99 M92.58 M108.77 M124.22 M120.79 M 135.28 M