Financials
Value 202020212022202320242025 TTM Cash from investing activities -125.44 M-306.32 M296.59 M-291.14 M-96.06 M-29.41 M — Cash from financing activities 296.43 M650.03 M-82.76 M48.66 M-30.67 M7.84 M — Free cash flow -87.3 M-235.22 M-317.57 M186.65 M-17.44 M-88.81 M -81.86 M