Financials
Valor 202020212022202320242025 TTM Cash from investing activities -24.68 M-37.6 M-140.22 M-101.49 M-74.62 M-74.34 M -74.34 M Cash from financing activities -128.59 M-140.33 M-8.58 M-264.73 M-179.68 M-124.82 M -124.82 M Free cash flow 239.75 M276.52 M-194.15 M271.23 M170.48 M120.03 M 120.03 M