Financials
Valor 202020212022202320242025 TTM Cash from investing activities -61.36 M-130.96 M-207.99 M-116.57 M-115.2 M-128.95 M -128.95 M Cash from financing activities 143.84 M196.75 M2.44 M121 M98.62 M67.08 M 67.08 M Free cash flow 13.05 M27.94 M28.58 M28.41 M19.68 M29.25 M 29.25 M