Financials
Valor 202020212022202320242025 TTM Cash from investing activities -16.96 M-18.92 M-22.46 M-13.5 M-19.47 M-23.47 M -23.47 M Cash from financing activities -21.89 M-179.92 M-204.51 M-184.09 M-170.38 M-86.54 M -86.54 M Free cash flow 113.22 M233.47 M198.48 M201.17 M183.64 M108.39 M 108.39 M