Financials
Valor 20202021202220232024 TTM Cash from investing activities -5.44 M-135.54 M-98.72 M-169.75 M-286.3 M -276.34 M Cash from financing activities -42.75 M-92.93 M-80.98 M-64.85 M-147.01 M -86.3 M Free cash flow 74.18 M33.66 M151.04 M364.73 M206.55 M 101.56 M