Financials
Valor 202020212022202320242025 TTM Cash from investing activities -50.48 M-74.29 M-115.13 M-94.25 M-228.65 M-37.56 M -37.56 M Cash from financing activities 101.31 M125.28 M322.24 M225.67 M457.74 M426.74 M 426.74 M Free cash flow -29.82 M-54.92 M-94.64 M-185.07 M-232.83 M-276.89 M -276.89 M