Financials
Valor 202020212022202320242025 TTM Cash from investing activities -149.22 M-69.95 M-131.16 M-54.79 M-22.4 M40.45 M 40.45 M Cash from financing activities 125.97 M43.48 M107.56 M52.81 M-5.97 M-52.52 M -52.52 M Free cash flow 45.3 M18.94 M19.84 M13.47 M2.88 M10.42 M 10.42 M