Financials
Valor 202020212022202320242025 TTM Cash from investing activities -96.59 M18.85 M-69.33 M-98.07 M131.71 M103.77 M 103.77 M Cash from financing activities 282.99 M37.68 M155.29 M208.4 M185.74 M148 K 148 K Free cash flow -95.25 M-128.78 M-186.5 M-211.35 M-215.59 M-190.45 M -190.45 M