Financials
Valor 202020212022202320242025 TTM Cash from investing activities -65.14 M-60.07 M52.54 M13.1 M-35.07 M-22.57 M -22.57 M Cash from financing activities 121.27 M169.7 M1.37 M11.03 M114.67 M130.34 M 130.34 M Free cash flow -45.9 M-81.91 M-120.13 M-67.17 M-46.75 M-79.45 M -79.45 M