Financials
Valor 202020212022202320242025 TTM Cash from investing activities -147.81 M-346.79 M-129.23 M-51.33 M508 K-66.24 M -66.24 M Cash from financing activities 241.18 M-352.12 M-306.11 M-152.16 M-158.34 M-15.31 M -15.31 M Free cash flow 130.74 M147.2 M259.11 M110.39 M-26.16 M10.91 M 10.91 M