Financials
Valor 202020212022202320242025 TTM Cash from investing activities -92.87 M31.73 M-19.17 M-149.89 M-292.49 M-325.96 M -325.96 M Cash from financing activities 18.66 M-17.49 M-15.03 M-16.45 M51.09 M11.6 M 11.6 M Free cash flow 41.44 M29.92 M-1.25 M171.74 M340.3 M269.74 M 269.74 M