Financials
Valor 202020212022202320242025 TTM Cash from investing activities -69.08 M-312.28 M-166.32 M-89.89 M-77.41 M-30.52 M -30.52 M Cash from financing activities -28.31 M144.42 M-102.7 M-65.55 M213.07 M-432.9 M -432.9 M Free cash flow 63.5 M-140.77 M20.13 M105.77 M136.9 M26.98 M 26.98 M