Financials
Valor 202020212022202320242025 TTM Cash from investing activities -81.87 M-699.68 M193.17 M127.46 M427.91 M148.14 M 148.14 M Cash from financing activities 119.25 M627.17 M-159.67 M-205.07 M-507.63 M-168.63 M -168.63 M Free cash flow 31.76 M48.35 M57.16 M46.79 M35.55 M21.35 M 21.35 M