Financials
Valor 20212022202320242025 TTM Cash from investing activities -283.76 M-116.44 M15.81 M22.96 M-3.25 M -3.25 M Cash from financing activities 273.37 M62.08 M-26.65 M-54.58 M-62.14 M -62.14 M Free cash flow 15.62 M-23.58 M7.98 M37.79 M72.11 M 72.11 M