Financials
Valor 202020212022202320242025 TTM Cash from investing activities -152 K-274 K-257 K-376 K-1.73 M-504 K -641 K Cash from financing activities -127 K-1.01 M-4.75 M942 K-245 K-1.05 M -47 K Free cash flow 3.76 M207 K1.78 M-672 K50 K6.43 M 3.41 M