Financials
Valor 202020212022202320242025 TTM Cash from investing activities -161.1 M11.98 M-398.59 M-444.22 M-118.29 M-314.8 M -314.8 M Cash from financing activities 139.49 M464.46 M-554.05 M296.07 M-43.87 M99.8 M 99.8 M Free cash flow 48.03 M212.5 M236.57 M165.53 M170.37 M128.85 M 128.85 M