Financials
Valor 20202021202220232024 TTM Cash from investing activities -221.49 M-212.41 M64.19 M-83.76 M-122.81 M 41.92 M Cash from financing activities -100.38 M5.55 M-507.76 M-258.93 M-207.91 M -452.07 M Free cash flow 117.19 M63.49 M297.42 M223.87 M51.65 M 183.46 M