Financials
Valor 202020212022202320242025 TTM Cash from investing activities -16.25 M-317.38 M-433.69 M-22.1 M-66.12 M-126.16 M -126.16 M Cash from financing activities 468.87 M287.65 M-110.61 M-209.75 M22.52 M72.59 M 72.59 M Free cash flow 73.52 M51.23 M77.36 M79.55 M54.26 M86.42 M 86.42 M