Financials
Valor 202020212022202320242025 TTM Cash from investing activities -99.68 M-62.2 M-98.5 M-16.71 M-48.04 M-91.13 M -91.13 M Cash from financing activities 52.32 M-59.92 M-1.2 M-13.25 M9.73 M-5.21 M -5.21 M Free cash flow 101.13 M76.73 M67.11 M28.62 M67.44 M70.2 M 70.2 M