Financials
Valor 202020212022202320242025 TTM Cash from investing activities -232.07 M-79.18 M-55.04 M-134.42 M-46.96 M-64.05 M -64.05 M Cash from financing activities 6.14 M11.75 M-46.18 M-30.94 M-28.64 M-46.45 M -46.45 M Free cash flow 86.93 M89.16 M26.61 M33.97 M12.82 M69.1 M 69.1 M