Financials
Valor 20202021202220232024 TTM Cash from investing activities 24.7 M-68.35 M15.3 M13.36 M-7 M -26.4 M Cash from financing activities -118.31 M-54.16 M-419.43 M-69.35 M-142.01 M -122.73 M Free cash flow 197.4 M285.61 M146 M52.47 M210.97 M 275.48 M