Financials
Valor 202020212022202320242025 TTM Cash from investing activities -90.97 M-15.86 M91.47 M-39.26 M-299.48 M-49.33 M -49.33 M Cash from financing activities 247.63 M129.92 M18.84 M170.48 M25.85 M22.86 M 22.86 M Free cash flow -72.95 M-108.97 M-108.93 M-70.84 M182.8 M56.08 M 56.08 M