Financials
Value 202020212022202320242025 TTM Cash from investing activities 26.33 M111.54 M108.05 M56.51 M36.47 M161.08 M 161.08 M Cash from financing activities 68.85 M76.87 M15.27 M265.13 M218.21 M277.31 M 277.31 M Free cash flow 100.52 M182.94 M232.19 M329.43 M287.79 M217.14 M 217.14 M