Financials
Valor 2021202220232024 TTM Cash from investing activities -220.34 M-253.22 M-385.66 M-220.31 M -441.24 M Cash from financing activities -12.14 M98.96 M102.16 M35.86 M 305.09 M Free cash flow 12.87 M68.25 M-39.75 M36.16 M 42.87 M