Financials
Valor 20212022202320242025 TTM Cash from investing activities -291.31 M-434.11 M-144.92 M-29.42 M-74.15 M -74.15 M Cash from financing activities 455.93 M183.53 M161.72 M-2.23 M84.2 M 84.2 M Free cash flow 18.36 M28.94 M40.96 M32.87 M41.33 M 41.33 M