Financials
Valor 202020212022202320242025 TTM Cash from investing activities -83.16 M-88.24 M58.44 M70.7 M-218.8 M190.05 M 190.05 M Cash from financing activities 360.88 M1.79 M122.91 M135.52 M161.21 M108.86 M 108.86 M Free cash flow -53.55 M-107.76 M-122.83 M-121.33 M-118.02 M-186.49 M -186.49 M