Financials
Valor 202020212022202320242025 TTM Cash from investing activities -28.14 M-50.33 M-32.63 M-28.2 M-61.19 M-99.85 M -100.16 M Cash from financing activities -95.52 M-70.69 M8.57 M-64.89 M22.35 M-63.75 M -9.11 M Free cash flow 161.54 M53.79 M15.21 M114.65 M100.33 M56.03 M 64.85 M