Financials
Valor 20212022202320242025 TTM Cash from investing activities -62.91 M-24.66 M-38.78 M-215.8 M-194.23 M -194.23 M Cash from financing activities 327.51 M-23.97 M263.42 M-37.63 M-78.4 M -78.4 M Free cash flow 10.45 M-1.64 M79.62 M90.54 M98.83 M 98.83 M