Financials
Valor 202020212022202320242025 TTM Cash from investing activities -66.69 M-24.63 M-135.51 M-134.75 M-275.73 M-57.36 M -57.36 M Cash from financing activities 243.03 M-239.25 M-298.49 M-161.45 M-131.69 M-177.7 M -177.7 M Free cash flow -242.04 M-179.98 M72.93 M180.39 M-9.81 M117.39 M 117.39 M