Financials
Valor 20212022202320242025 TTM Cash from investing activities -159.83 M-181.9 M-214.91 M-179 M-135.14 M -135.14 M Cash from financing activities -117.29 M197.76 M265.96 M-50.56 M-100.53 M -100.53 M Free cash flow 179.38 M95.58 M-362.71 M45.09 M149.18 M 149.18 M