Financials
Valor 202020212022202320242025 TTM Cash from investing activities -126.15 M-106.72 M-120.15 M-72.61 M-79.15 M-123.69 M -123.69 M Cash from financing activities 106.84 M93.39 M90.57 M45.01 M45.32 M78.74 M 78.74 M Free cash flow 8.43 M15.2 M20.9 M25.56 M30.73 M-78.59 M 37.57 M