Financials
Valor 202020212022202320242025 TTM Cash from investing activities -3.77 M-19.52 M-79.54 M-62 M-305.03 M-686.36 M -686.36 M Cash from financing activities -46.59 M-20.82 M-16.12 M-30.92 M399.7 M670.7 M 670.7 M Free cash flow 39.19 M-3.17 M-13.41 M25.54 M-129.05 M-437.65 M -437.65 M