Financials
Valor 2020202120222023 TTM Cash from investing activities -141.79 M-55.69 M-103.39 M-121.57 M -121.57 M Cash from financing activities 2.67 M-68.35 M-9.47 M-75.15 M -75.15 M Free cash flow 163.24 M118.3 M149.4 M299.8 M 299.8 M