Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-48.6 M-76.29 M-55.03 M-53.01 M-471.38 M -471.38 M Cash from financing activities —-58.44 M17.88 M-323.03 M-27.29 M-132.11 M -132.11 M Free cash flow —88.97 M151.96 M195 M230.87 M254.51 M 254.51 M