Financials
Valor 2022202320242025 TTM Cash from investing activities -11 K-172.24 M-209.05 M-245.29 M -245.29 M Cash from financing activities 1.18 M344.97 M560.9 M753.45 M 753.45 M Free cash flow 62.41 M-169.68 M-153.45 M-579.35 M -579.35 M