Financials
Valor 20212022202320242025 TTM Cash from investing activities -178.86 M-256.59 M-357.84 M-233.99 M-52.03 M -52.03 M Cash from financing activities 240.38 M172.09 M288.37 M194.89 M2.36 M 2.36 M Free cash flow 15.11 M24.23 M42.21 M48.17 M50.84 M 50.84 M