Financials
Valor 202020212022202320242025 TTM Cash from investing activities -142.53 M-40.87 M-186.19 M117.61 M-219.78 M290.04 M 290.04 M Cash from financing activities 304.42 M118.46 M172.25 M264.13 M353.37 M13.68 M 13.68 M Free cash flow -71.26 M29 M-133.68 M-160.6 M-274.9 M-323.17 M -322.98 M