Financials
Valor 202020212022202320242025 TTM Cash from investing activities -316.26 M-284.68 M-438.7 M-8.74 M-59.16 M-244.04 M -244.04 M Cash from financing activities 617.37 M560.08 M-113.64 M-4.34 M-15.57 M143.66 M 143.66 M Free cash flow 5.76 M58.84 M37.42 M35.2 M33.41 M42.21 M 42.21 M