Financials
Value 202020212022202320242025 TTM Cash from investing activities -272.9 M-295 M-85.48 M-3.77 M63.31 M84.07 M 84.07 M Cash from financing activities 243.43 M270.11 M86.13 M-78.88 M-93.15 M-82.16 M -82.16 M Free cash flow -247.46 M-260.57 M-38.39 M27.28 M24.35 M-168 K -168 K