Financials
Valor 202020212022202320242025 TTM Cash from investing activities -43.83 M-51.24 M-308.88 M-222.57 M-150.85 M-179.5 M -179.5 M Cash from financing activities -34.75 M-22.66 M113.21 M20.99 M-42 M27.69 M 27.69 M Free cash flow 28.33 M19.49 M65.76 M42.96 M38.08 M52.93 M 52.93 M