Financials
Valor 20212022202320242025 TTM Cash from investing activities -129.27 M-282.98 M-110.97 M-15.86 M-74.05 M -74.05 M Cash from financing activities 376.25 M72.93 M30.63 M-7.87 M42.97 M 42.97 M Free cash flow 71.26 M-98.57 M-46.05 M31.16 M33.58 M 33.58 M