Financials
Valor 20202021202220232024 TTM Cash from investing activities 288.18 M34.65 M27.41 M-6.91 M-4.67 M — Cash from financing activities -222.32 M-1.51 M-706 K-955 K9.47 M — Free cash flow -7.07 M16.13 M-61.51 M77.53 M-32.65 M -282.72 M