Financials
Valor 202020212022202320242025 TTM Cash from investing activities -172.11 M-45.81 M25.2 M65.24 M54.95 M40.22 M 40.22 M Cash from financing activities 228.75 M166.66 M-1.35 M135 K8.87 M23 K — Free cash flow -82.17 M-152.52 M-123.48 M-78.41 M-47.99 M-31.54 M -31.51 M