Financials
Valor 202020212022202320242025 TTM Cash from investing activities -382.31 M-469.25 M-59.68 M36.05 M176.81 M250.32 M 250.32 M Cash from financing activities 385.58 M564.34 M-39.17 M-23.8 M-161.53 M-21.07 M -21.07 M Free cash flow -24.54 M-16.88 M-26.05 M-45.66 M-37.59 M-28.09 M -28.09 M