Financials
Valor 202020212022202320242025 TTM Cash from investing activities -191.28 M-28.43 M-172.4 M-81.71 M-38.44 M-48.01 M -48.01 M Cash from financing activities 274.56 M-25.31 M104.46 M34.68 M44.73 M81.92 M 81.92 M Free cash flow 14.56 M18.89 M22.97 M22.12 M20.36 M15.4 M 15.4 M