Financials
Valor 202020212022202320242025 TTM Cash from investing activities -130.27 M-208.33 M-448.23 M-98.75 M101.16 M3.41 M 3.41 M Cash from financing activities 228.77 M185.95 M281.93 M80.41 M23.15 M28.74 M 28.74 M Free cash flow -23.34 M30.27 M46.85 M17.36 M22.32 M-6.9 M -6.9 M