Financials
Valor 202020212022202320242025 TTM Cash from investing activities 45.13 M-229.63 M-106.25 M-25.78 M-37.87 M-115.88 M -115.88 M Cash from financing activities 118.94 M62.82 M12.91 M-3.19 M9.1 M90.56 M 90.56 M Free cash flow 20.48 M23.91 M23.73 M19.65 M17.53 M23.34 M 23.34 M