Financials
Valor 20212022202320242025 TTM Cash from investing activities 89.85 M-374.15 M-256.36 M-45.82 M-27.95 M -27.95 M Cash from financing activities -16.71 M332.5 M282.64 M25.57 M60.94 M 60.94 M Free cash flow 11.11 M23.93 M12.99 M4.61 M12.18 M 12.18 M