Financials
Valor 202020212022202320242025 TTM Cash from investing activities -190.5 M-189.34 M58.42 M158.35 M-51.27 M-8.6 M -8.6 M Cash from financing activities 348.93 M171.4 M1.15 M45.49 M45.34 M126.4 M 126.4 M Free cash flow -67.9 M-88.24 M-111.44 M-108.55 M-65.34 M-99.3 M -99.12 M