Financials
Valor 202020212022202320242025 TTM Cash from investing activities -89.71 M185.28 M197.94 M-11.63 M-192.31 M-269.15 M -269.15 M Cash from financing activities -111.76 M-402.99 M-401.25 M-169.72 M-13.57 M25.71 M 25.71 M Free cash flow 115.42 M160.51 M174.35 M134.89 M49.84 M-110.47 M -37.51 M