Financials
Valor 202020212022202320242025 TTM Cash from investing activities -14.17 M-33.44 M-31.74 M-52.62 M-22.18 M-46.19 M -46.19 M Cash from financing activities -164.24 M-23 M24.45 M-76.88 M-31.97 M-30.79 M -30.79 M Free cash flow 166.46 M24.36 M-16.77 M93.41 M184.55 M145.15 M 146.92 M