Financials
Valor 202020212022202320242025 TTM Cash from investing activities 94.47 M38.84 M-394.85 M144.75 M95.4 M228.03 M 228.03 M Cash from financing activities -879 K252.3 M44.02 M-59.3 M127.05 M-132.61 M -132.61 M Free cash flow -14.73 M-47.29 M-73.95 M-121.61 M-135.69 M19.61 M 19.61 M