Financials
Valor 202020212022202320242025 TTM Cash from investing activities -61.3 M-58.6 M-63.1 M-47.4 M-186.3 M-42.9 M -42.9 M Cash from financing activities -85.3 M-86.7 M-91.5 M-91.6 M26.5 M-36.3 M -36.3 M Free cash flow 39.7 M147.9 M18.5 M-41.9 M43 M-40.4 M -40.4 M