Financials
Valor 202020212022202320242025 TTM Cash from investing activities -7.6 M-34.04 M-70.33 M-89.75 M191.28 M190.76 M 190.76 M Cash from financing activities -73.76 M702.56 M-101.51 M-172.13 M-258.75 M-179.17 M -179.17 M Free cash flow -195.74 M-180.93 M-64.53 M-123.04 M-131.6 M-86.82 M -86.82 M