Financials
Valor 2022202320242025 TTM Cash from investing activities -230.56 M-356.68 M-310.77 M-409.81 M -409.81 M Cash from financing activities -76.85 M13.41 M33.72 M118.82 M 118.82 M Free cash flow 111.7 M-56.33 M-71.26 M-122.84 M -122.84 M