Financials
Valor 202020212022202320242025 TTM Cash from investing activities -103.81 M132.92 M-432.78 M161.56 M322.7 M159.82 M 159.82 M Cash from financing activities 357.09 M258.24 M-301.5 M-292.99 M-455.05 M-257.39 M -257.39 M Free cash flow 22.07 M29.01 M93.01 M104.03 M120.75 M117.76 M 117.76 M