Financials
Valor 202020212022202320242025 TTM Cash from investing activities -326.71 M24.54 M-71.68 M-15.72 M8.54 M-257.4 M -257.4 M Cash from financing activities 79.46 M-66.61 M-25.01 M-120.33 M-12.19 M-63.67 M -63.67 M Free cash flow 76.04 M5.37 M82.55 M203.48 M153.79 M120.59 M 120.59 M