Financials
Valor 202020212022202320242025 TTM Cash from investing activities -285.65 M103.68 M-376.69 M-79.5 M-114.7 M-57.2 M -57.2 M Cash from financing activities 345.47 M436.66 M4.74 M-166.62 M41.25 M91.97 M 91.97 M Free cash flow 17.5 M10.29 M22.13 M31.16 M23.86 M24.56 M 24.56 M