Financials
Valor 20212022202320242025 TTM Cash from investing activities -48.78 M-92.57 M-55.38 M-54.13 M-103.78 M -103.78 M Cash from financing activities 10.96 M-229.24 M-7.61 M-136.79 M-20.85 M -20.85 M Free cash flow 162.25 M86.32 M153.55 M187.78 M225.36 M 225.36 M