Financials
Valor 20212022202320242025 TTM Cash from investing activities -6.21 M-14.17 M-13.58 M-217.33 M-107.68 M -107.68 M Cash from financing activities 430.47 M14.78 M2.13 M-30 M-29.55 M -29.55 M Free cash flow 2.96 M48.09 M150.42 M273.4 M369.73 M 369.73 M