Financials
Valor 202020212022202320242025 TTM Cash from investing activities -75.55 M-50.29 M-50.38 M-22.76 M-372.5 M-18.93 M -18.93 M Cash from financing activities -18.32 M-5.19 M-16.32 M-56.52 M295.1 M-54.48 M -54.48 M Free cash flow 33.09 M27.05 M48.33 M63.32 M54.86 M67.21 M 67.21 M