Financials
Valor 202020212022202320242025 TTM Cash from investing activities -48.63 M-83.82 M-133.32 M-507.93 M-118.28 M-238.24 M -238.24 M Cash from financing activities -62.62 M-81.28 M-156.77 M403.27 M-152.56 M28.45 M 28.45 M Free cash flow 150.45 M161.51 M140.83 M139.31 M171.63 M135.51 M 203.67 M