Financials
Valor 202020212022202320242025 TTM Cash from investing activities 261.07 M-15.79 M-259.12 M-415.54 M-62.93 M-233 K -233 K Cash from financing activities -11.86 M-29.55 M131.54 M281.34 M-565 K-35.92 M -35.92 M Free cash flow -16.23 M38.75 M-11.55 M142.58 M18.77 M38.84 M 38.84 M