Financials
Valor 202020212022202320242025 TTM Cash from investing activities 17.84 M-6.21 M-2.91 M-34.49 M-24.02 M-40.26 M -40.26 M Cash from financing activities -351.14 M-196.25 M-263.26 M-178.26 M-164.17 M-123.51 M -123.51 M Free cash flow 369.29 M220.65 M170.16 M146.41 M190.16 M149.33 M 149.33 M