Financials
Valor 202020212022202320242025 TTM Cash from investing activities -23.17 M-15.9 M-111.19 M-18.1 M-140.56 M-18.51 M -18.51 M Cash from financing activities -61.33 M-20.71 M4.34 M-65.4 M-27.93 M-98.44 M -98.44 M Free cash flow 61.92 M70.5 M106.86 M74.07 M80.64 M86.37 M 86.37 M