Financials
Value 202020212022202320242025 TTM Cash from investing activities -96.21 M-198.54 M-124.17 M-208.54 M-170.66 M-450.46 M -450.46 M Cash from financing activities -2.44 M91.32 M-4.38 M45.85 M44.62 M300.67 M 300.67 M Free cash flow 40.87 M-97.53 M-160.47 M-40.33 M-101.33 M-364.84 M -364.84 M