Financials
Valor 202020212022202320242025 TTM Cash from investing activities -7.6 M-22.62 M57.01 M-108.39 M-353.29 M-143.47 M -143.47 M Cash from financing activities 154.51 M1.39 M42.68 M361.08 M410.91 M309.02 M 309.02 M Free cash flow -80.06 M-54.29 M-80.18 M-99.91 M-157.41 M-169.25 M -169.25 M