Financials
Valor 202020212022202320242025 TTM Cash from investing activities -23.13 M-120.18 M-150.79 M-107.45 M-55.91 M-310.32 M — Cash from financing activities 64.92 M194.8 M3 000182 K-60.05 M218.99 M — Free cash flow 23.13 M56.78 M49.51 M71.05 M111.88 M127.07 M 339.31 M