Financials
Valor 2020202120222023 TTM Cash from investing activities -15.82 M-121.43 M-1.78 M46.04 M -5.37 M Cash from financing activities -62.54 M-27.15 M-23.14 M-60.1 M -8.22 M Free cash flow 57.49 M103.87 M-3.86 M26.39 M 26.19 M