Financials
Valor 202020212022202320242025 TTM Cash from investing activities 9.05 M-69.46 M52.65 M-57.12 M-39.94 M-18.44 M -18.44 M Cash from financing activities 3.69 M120.81 M87 K82.78 M117.58 M137.81 M 137.81 M Free cash flow -39.88 M-40.14 M-34.56 M-51.36 M-89.11 M-101.06 M -101.06 M