Financials
Valor 202020212022202320242025 TTM Cash from investing activities 43.93 M-69.79 M-119.95 M-174.91 M90.68 M-269.94 M -269.94 M Cash from financing activities -156.5 M-24.01 M19.58 M80.42 M-226.72 M138.94 M 138.94 M Free cash flow 92.49 M84.89 M96.49 M94.72 M111.5 M128.71 M 128.71 M