Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-454.67 M63.46 M8.92 M122.7 M99.52 M 99.52 M Cash from financing activities —625.53 M1.33 M628 K331 K202.53 M 202.53 M Free cash flow —-68.47 M-96.48 M-68.07 M-130.57 M-181.78 M -173.78 M