Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2 M-100.3 M-141.83 M-46.44 M-67.48 M-39.65 M -39.65 M Cash from financing activities 209.16 M7.42 M6.84 M-105.55 M-11 M-9.05 M -9.05 M Free cash flow -2.99 M98.26 M144.29 M219.07 M218.67 M347.89 M 347.89 M