Financials
Valor 20202021202220232024 TTM Cash from investing activities -1.46 M-76.17 M-12.42 M-25.42 M-15.84 M 254.48 M Cash from financing activities 279.07 M511.96 M296.27 M111.23 M11.46 M 396.85 M Free cash flow -149.23 M-206.08 M-322.69 M-199.57 M-95.31 M -93.62 M