Financials
Valor 20202021202220232024 TTM Cash from investing activities -2.15 M9.28 M-27.71 M-43.67 M-265.89 M -24.57 M Cash from financing activities -107.88 M-120.57 M-91.02 M-144.61 M146.05 M -74.88 M Free cash flow 115.7 M78.63 M57.52 M160.97 M89.57 M 67.44 M