Financials
Valor 20212022202320242025 TTM Cash from investing activities -244.59 M-1.12 B-1.4 B-1.2 B-922.69 M -922.69 M Cash from financing activities 105.14 M-7.84 M456.46 M207.39 M-245.07 M -245.07 M Free cash flow -37.54 M-206.96 M-494.83 M-21.2 M-89.75 M -89.75 M