Financials
Valor 20212022202320242025 TTM Cash from investing activities -176.4 M-93.25 M-68.18 M86.61 M102.24 M 102.24 M Cash from financing activities 433.43 M2.13 M154.3 M16.72 M4.82 M 4.82 M Free cash flow -34.64 M-97.42 M-104.9 M-143.08 M-112.35 M -112.35 M