Financials
Value 20202021202220232024 TTM Cash from investing activities 88.98 M132.24 M90.78 M67.43 M148.21 M 155.31 M Cash from financing activities 95.43 M97.34 M106.93 M109.15 M115.26 M 138.29 M Free cash flow 86.32 M-30.16 M135.72 M183.98 M203.5 M 229.47 M