Financials
Valor 20212022202320242025 TTM Cash from investing activities -340.96 M58.27 M-41.19 M-258.02 M-300.98 M -300.98 M Cash from financing activities 386.52 M500 K59.55 M713.24 M4.95 M 4.95 M Free cash flow -18.46 M-49.37 M-52.42 M-44.17 M-83.28 M -83.28 M