Financials
Valor 202020212022202320242025 TTM Cash from investing activities 31.94 M23.85 M51.77 M81.81 M66.94 M73.13 M — Cash from financing activities 113.33 M10.45 M140.46 M282.15 M175.51 M3.46 M — Free cash flow 154.27 M1.34 M405.02 M178.37 M243.26 M51.46 M —