Financials
Valor 202020212022202320242025 TTM Cash from investing activities -80.84 M-91.03 M-45.15 M-81.73 M-498.99 M613.53 M 613.53 M Cash from financing activities -20.9 M44.46 M-312.53 M-393.46 M172.09 M-698.35 M -698.35 M Free cash flow -8.05 M32.59 M120.6 M173.8 M237.52 M277.65 M 247.76 M