Financials
Valor 202020212022202320242025 TTM Cash from investing activities -32.59 M-447.72 M-733.7 M-80.11 M68.35 M64.41 M 64.41 M Cash from financing activities 631.33 M438.6 M238.43 M-274.82 M-52.14 M-13.9 M -13.9 M Free cash flow -58.35 M110.73 M54.24 M59.3 M54.88 M80.03 M 80.03 M