Financials
Valor 20212022202320242025 TTM Cash from investing activities -311.16 M-184.03 M-74.15 M-134.55 M-77.32 M -77.32 M Cash from financing activities 313.92 M220.55 M5.9 M83.5 M41.56 M 41.56 M Free cash flow -1.94 M-132.76 M-75.56 M-94.21 M-34.24 M -34.24 M