Financials
Valor 202020212022202320242025 TTM Cash from investing activities -99.94 M-126.83 M32.63 M15.56 M-101.59 M-13.1 M -13.1 M Cash from financing activities 469.33 M-3.44 M38.56 M94.78 M154.42 M1.79 M 1.79 M Free cash flow -72 M-105.7 M-110.69 M-124.99 M133.84 M-70.7 M -70.7 M