Financials
Valor 202020212022202320242025 TTM Cash from investing activities -49.85 M-56.97 M-101.56 M-93.3 M-94.95 M-95.61 M -104.26 M Cash from financing activities -1.46 M-203.88 M139.29 M-92.72 M-255.59 M-196.4 M -151.63 M Free cash flow 160.28 M85.48 M-127.85 M61.77 M341.32 M153.97 M 76.28 M