Financials
Valor 202020212022202320242025 TTM Cash from investing activities -18.06 M-50.76 M-72.58 M-76.02 M-77.29 M-87.55 M -87.55 M Cash from financing activities -33.54 M-43.79 M-44.8 M-42.77 M-84.55 M-85.53 M -85.53 M Free cash flow 53.11 M65.74 M70.59 M60.87 M90.97 M34.49 M 34.49 M