Financials
Valor 202020212022202320242025 TTM Cash from investing activities -29.31 M-1.43 B-218.94 M-176.6 M-187.49 M-282.46 M -282.46 M Cash from financing activities -16.41 M1.32 B153.9 M202.88 M58.28 M-25.27 M -25.27 M Free cash flow -25.59 M-49.46 M-294.82 M-395.07 M-276.33 M-146.87 M -146.87 M