Financials
Valor 20202021202220232025 TTM Cash from investing activities -125.11 M-148.03 M-114.87 M-18.05 M-125.79 M -125.79 M Cash from financing activities 260.51 M149.16 M-136.98 M8.91 M151.83 M 151.83 M Free cash flow 32.06 M49.19 M25.82 M23.85 M11.12 M 11.12 M