Financials
Valor 20202021202220232024 TTM Cash from investing activities -101.92 M-303.93 M-213.41 M-245.74 M-285.11 M -179.16 M Cash from financing activities 119.5 M199.8 M118.55 M182.39 M335.51 M 78.41 M Free cash flow 48.91 M62.73 M55.98 M61.22 M75.29 M 84.13 M