Financials
Valor 20212022202320242025 TTM Cash from investing activities -46.46 M2.76 M-2.36 M-17.34 M-121.82 M — Cash from financing activities 47.24 M-2.42 M10.81 M112.55 M153.94 M — Free cash flow -748.23 K1.79 M-6.42 M4.07 M2.48 M —