Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-155.14 M82.71 M50.63 M51.18 M61 K 61 K Cash from financing activities —252.85 M64.75 M-38.38 M-3.02 M-2.38 M -2.38 M Free cash flow —-93.81 M-142.07 M-40.67 M-49.1 M5.37 M 5.37 M