Financials
Valor 202020212022202320242025 TTM Cash from investing activities -210.87 M73.7 M-150.2 M-127.01 M140.34 M134.29 M 134.29 M Cash from financing activities 213.21 M2.53 M226.85 M274.4 M23.12 M-31.7 M -31.7 M Free cash flow -38.8 M-77.4 M-96.39 M-117.28 M-159.35 M-128.71 M -128.71 M