Financials
Valor 20212022202320242025 TTM Cash from investing activities -47.87 M-52.66 M-96.72 M-99.53 M-77.82 M -77.82 M Cash from financing activities -31.47 M-177 K-1.8 M-72.95 M-3.48 M -3.48 M Free cash flow 98.37 M21.8 M75.24 M39.74 M58.98 M 58.98 M