Financials
Value 202020212022202320242025 TTM Cash from investing activities -94.61 M-8 M-301.81 M-137.44 M-441.61 M-458.12 M — Cash from financing activities -136.8 M-89.68 M195.53 M-190.58 M105.54 M110.31 M — Free cash flow 165.75 M-2.49 M256.72 M96.89 M-342.34 M-224.12 M —