Financials
Valor 20212022202320242025 TTM Cash from investing activities -136.46 M-121.35 M-2.71 M-3.89 M36.55 M 36.55 M Cash from financing activities 173.93 M62.14 M13.77 M11.24 M-10.61 M -10.61 M Free cash flow 40.08 M-8.16 M-12.97 M-12.04 M-14.99 M -14.99 M