Financials
Valor 202020212022202320242025 TTM Cash from investing activities -3.99 M-41.19 M-126.69 M-278.52 M-229.68 M-29.49 M -29.49 M Cash from financing activities -5.77 M10.66 M148.46 M250.41 M159.3 M-64.27 M -64.27 M Free cash flow 30.84 M-2.74 M-19.34 M86.95 M42.77 M62.83 M 62.83 M