Financials
Valor 202020212022202320242025 TTM Cash from investing activities -127.42 M-169.73 M-139.06 M-310.7 M-200.47 M-241.89 M -241.89 M Cash from financing activities 77.98 M52.32 M30.76 M199.44 M78.3 M113.61 M 113.61 M Free cash flow -67.41 M-107.75 M-44.19 M-143.08 M-160.44 M-150.73 M -150.73 M