Financials
Valor 20212022202320242025 TTM Cash from investing activities -119.7 M-22.27 M-37.99 M-12.41 M-298.04 M -298.04 M Cash from financing activities 134.39 M167.09 M41.95 M164 M743.51 M 743.51 M Free cash flow -42.17 M-49.38 M-67.44 M-70.06 M-82.18 M -82.18 M