Financials
Valor 20212022202320242025 TTM Cash from investing activities -106.36 M-382.07 M-307.01 M-68.4 M-155.91 M -155.91 M Cash from financing activities 64.67 M80.35 M267.94 M108.11 M90.04 M 90.04 M Free cash flow 69.05 M64.9 M36.93 M28.8 M31.81 M 31.81 M