Financials
Valor 202020212022202320242025 TTM Cash from investing activities -177.6 M-202.54 M-129.71 M53.19 M15.79 M-39.18 M -39.18 M Cash from financing activities 166.67 M175.28 M32.85 M-53.54 M-3.71 M-27.58 M -27.58 M Free cash flow 11.97 M22.56 M28.24 M14.03 M6.18 M15.15 M 15.15 M