Financials
Valor 20202021202220232024 TTM Cash from investing activities -40.15 M-770 K-112.95 M25.72 M-47.41 M — Cash from financing activities 21.98 M-7.91 M109.25 M-65.14 M-9.43 M — Free cash flow -50.43 M-4.91 M31.71 M67.41 M59.65 M —