Financials
Valor 202020212022202320242025 TTM Cash from investing activities 11.5 M-235.91 M-162.3 M51.92 M130.62 M-115.75 M -115.75 M Cash from financing activities -82.9 M194.32 M46.31 M-155.02 M-195.55 M23.42 M 23.42 M Free cash flow -77.52 M-260.07 M-123.8 M25.17 M36.32 M41.03 M 41.03 M