Financials
Valor 20212022202320242025 TTM Cash from investing activities -543.83 M-190.13 M-259.37 M-199.85 M-206.85 M -206.85 M Cash from financing activities 272.46 M6.29 M8.61 M-275 K-117.96 M -117.96 M Free cash flow 47.59 M37.59 M-123.47 M-81.46 M30.3 M 30.3 M