Financials
Valor 20212022202320242025 TTM Cash from investing activities -43.58 M-36.21 M-142.96 M-1.38 M-538.27 M -538.27 M Cash from financing activities 451.09 M56.51 M159.59 M150.75 M467.38 M 467.38 M Free cash flow -94.89 M-118.95 M-166.43 M-184.82 M-113.51 M -113.51 M