Financials
Valor 202020212022202320242025 TTM Cash from investing activities -158.94 M27.56 M64.49 M-289.13 M-6.13 M37.17 M 37.17 M Cash from financing activities 201 M37.21 M381.39 M16.78 M-58.09 M-117.92 M -117.92 M Free cash flow -151.18 M-126.5 M-167.22 M-31.09 M2.64 M76.98 M 76.98 M