Financials
Valor 202020212022202320242025 TTM Cash from investing activities -24.15 M-475.97 M-48.59 M-58.29 M-69.72 M-118.79 M -118.79 M Cash from financing activities -34 M268.72 M-164.93 M-117.79 M-211.43 M-150.97 M -150.97 M Free cash flow 22.65 M168.17 M166.75 M149.12 M152.79 M136.71 M 136.71 M