Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-287.1 K-5 349-4 0150-293.95 K -293.95 K Cash from financing activities —316.77 K763.76 K1.71 M2.16 M11.66 M 11.66 M Free cash flow 0-24.21 K-713.8 K-1.22 M-1.94 M-6.16 M -6.06 M