Financials
Valor 202020212022202320242025 TTM Cash from investing activities -131.93 M85 M-280.21 M193.87 M-118.49 M-128.35 M -128.35 M Cash from financing activities 16.44 M-146.23 M151.61 M-57.13 M25.62 M70.86 M 70.86 M Free cash flow 52.16 M63.12 M80.78 M43.37 M29.95 M52.55 M 52.55 M