Financials
Valor 202020212022202320242025 TTM Cash from investing activities 95.63 M23.09 M47.02 M-53.13 M-96.56 M-149.17 M -149.17 M Cash from financing activities -17.78 M-10 M-19.83 M-5.29 M-21.24 M-65.14 M -65.14 M Free cash flow -91.32 M-56.3 M-31.8 M7.51 M111.5 M210.21 M 210.21 M