Financials
Valor 202020212022202320242025 TTM Cash from investing activities -38.19 M-51.42 M-5.89 M-29.13 M-15.82 M-198.05 M -198.05 M Cash from financing activities -27.82 M-20.51 M-24.61 M-28.09 M-35.1 M-57.98 M -57.98 M Free cash flow 80.52 M80.76 M76.56 M98.11 M142.22 M169.67 M 169.67 M