Financials
Valor 202020212022202320242025 TTM Cash from investing activities 96 M-315.34 M-214.18 M232.17 M123.73 M136.92 M 136.92 M Cash from financing activities 51.78 M191.9 M-15.41 M-34.03 M-192.93 M35.79 M 35.79 M Free cash flow 34.07 M97.6 M70.59 M60.95 M65.35 M38.11 M 38.11 M