Financials
Valor 202020212022202320242025 TTM Cash from investing activities -91.62 M-178.73 M-210.5 M-55.77 M-70.35 M-119.96 M -119.96 M Cash from financing activities 905.82 M-30.53 M-120.23 M-167.4 M-337.5 M-234.47 M -234.47 M Free cash flow 95.52 M144.32 M91.57 M82.53 M113.55 M93.88 M 93.88 M