Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.03 B-384.09 M-396.2 M-6.79 M-56 M-174.3 M -174.3 M Cash from financing activities 924.99 M155.76 M164.22 M-195.63 M-197.9 M-122.54 M -122.54 M Free cash flow 110.81 M188.75 M234.13 M255.54 M258.45 M198.19 M 198.19 M