Financials
Valor 202020212022202320242025 TTM Cash from investing activities -121.8 M-69.02 M-53.42 M-22.65 M-181.69 M-99.25 M -99.25 M Cash from financing activities 77.41 M-38.49 M44.31 M43.58 M56.8 M158.87 M 158.87 M Free cash flow 101 M31.09 M978 K93.96 M77.14 M53.98 M 53.98 M