Financials
Valor 202020212022202320242025 TTM Cash from investing activities 19.83 M36.99 M54.9 M-53.58 M58.23 M40.35 M -75.85 M Cash from financing activities 8.98 M3.08 M20.03 M198.13 M-27.63 M-26.62 M 42.5 M Free cash flow 5.64 M-70.75 M-86.91 M-112.21 M-96.71 M-32.17 M -18.46 M