Financials
Valor 20202021202220232025 TTM Cash from investing activities -90.27 M-90.8 M-153.9 M-30.3 M20.3 M 20.3 M Cash from financing activities -22.6 M-6.9 M57.9 M-78.4 M-121.9 M -121.9 M Free cash flow 86.41 M78 M49.6 M95.1 M103.6 M 103.6 M