Financials
Valor 202020212022202320242025 TTM Cash from investing activities -277.31 M-133.94 M-95.06 M-178.27 M-184.37 M-107.02 M -107.02 M Cash from financing activities 244.2 M225.59 M-40.44 M109.94 M343.08 M5.69 M 5.69 M Free cash flow 6.43 M26.35 M25.24 M26.57 M21.75 M25.44 M 25.44 M