Financials
Valor 202020212022202320242025 TTM Cash from investing activities 115.22 M-2.8 M-16.78 M-4.46 M-119.24 M2.39 M 2.39 M Cash from financing activities 303 K242.69 M41.51 M236 K111.31 M75.25 M 75.25 M Free cash flow -42.54 M-64.1 M-61.55 M-98.18 M-93.5 M-96.98 M -96.98 M