Financials
Valor 202020212022202320242025 TTM Cash from investing activities -6 M-4.8 M-21.7 M-49.9 M-10.8 M-75.2 M -75.2 M Cash from financing activities -91.8 M-35.3 M-114.6 M-51.9 M-68.9 M-25.2 M -25.2 M Free cash flow 156.6 M184.7 M107.4 M73.7 M-24 M-93 M -93 M