Financials
Valor 202020212022202320242025 TTM Cash from investing activities -120.73 M22.26 M202.96 M123.87 M8.62 M18.15 M 18.15 M Cash from financing activities 427.57 M103.94 M53.08 M2.01 M59.28 M16.1 M 16.1 M Free cash flow -185.27 M-231.1 M-274.62 M-194.2 M-68.96 M-50.94 M -50.94 M