Financials
Valor 202020212022202320242025 TTM Cash from investing activities -67.03 M193.71 M-127.56 M27.45 M82.22 M164.52 M 164.52 M Cash from financing activities 174.53 M6.32 M124.25 M-106.08 M62.88 M-42.17 M -42.17 M Free cash flow -100.37 M-110 M-86.6 M74.3 M-148.97 M-116.16 M -116.16 M