Financials
Valor 202020212022202320242025 TTM Cash from investing activities -43.9 M-528.52 M-306.39 M284.66 M3.95 M-145.28 M -145.28 M Cash from financing activities 462.69 M338.37 M-59.2 M-150.07 M-65.64 M150.38 M 150.38 M Free cash flow 45.78 M30.18 M45.74 M22.61 M29.62 M31.77 M 31.77 M