Financials
Valor 20212022202320242025 TTM Cash from investing activities -29.67 M-172.38 M-162.26 M-82.45 M-11.59 M -11.59 M Cash from financing activities 150.81 M145.05 M187.38 M100.09 M45.18 M 45.18 M Free cash flow -49.77 M-104.83 M-195.42 M-109.52 M-41.92 M -41.92 M