Financials
Valor 202020212022202320242025 TTM Cash from investing activities -30.71 M-74.24 M-290.51 M-101.96 M-71.5 M-43.39 M -43.39 M Cash from financing activities 41.83 M66.24 M85.76 M-65.72 M-94.23 M-112.79 M -112.79 M Free cash flow -64.68 M45.7 M93.15 M18.62 M-19.31 M73.55 M 73.55 M