Financials
Valor 20202021202220232024 TTM Cash from investing activities -147.65 M57.86 M41.41 M-84.72 M91.02 M 28.39 M Cash from financing activities 212.12 M1.58 M58.12 M150.71 M159.73 M 316.16 M Free cash flow -30.25 M-79.06 M-76.46 M-89.67 M-153.84 M -162.05 M