Financials
Valor 20202021202220232024 TTM Cash from investing activities -78.21 M70.8 M62.72 M-429 K-208 K — Cash from financing activities 160.63 M42.55 M-7.94 M8.51 M29.88 M 4.01 M Free cash flow -90.69 M-108.23 M-78.91 M-27.93 M-29.38 M -32.03 M