Financials
Value 202020212022202320242025 TTM Cash from investing activities —-199.47 M-317.24 M-244.29 M-243.44 M-307.8 M -307.8 M Cash from financing activities —48.83 M61.26 M-27.58 M-66.02 M-88.53 M -88.53 M Free cash flow —152.97 M230.05 M287.15 M310.8 M382.19 M 382.19 M