Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-33.59 M-53.02 M38.89 M7.77 M-2.71 M -2.71 M Cash from financing activities —282.89 M1.34 M59.26 M1.46 M67.83 M 67.83 M Free cash flow —-66.02 M-141.94 M-108.36 M-32.69 M-30.04 M -30.11 M