Financials
Valor 20212022202320242025 TTM Cash from investing activities -2.13 M-67.87 M-113.96 M68.82 M35.59 M 35.59 M Cash from financing activities 166.26 M95.63 M97.29 M1.59 M77.16 M 77.16 M Free cash flow -34.53 M-55.7 M-64.56 M-81.06 M-85.19 M -85.19 M