Financials
Valor 202020212022202320242025 TTM Cash from investing activities -35.52 M-65.99 M-19.99 M24.27 M-54.54 M-125.71 M -125.71 M Cash from financing activities -64.57 M-65.57 M-62.64 M-63.53 M-53.33 M-53.87 M -53.87 M Free cash flow 99.51 M133.17 M42.23 M50.33 M124.32 M191.99 M 191.99 M