Financials
Valor 202020212022202320242025 TTM Cash from investing activities -51.2 M-124.14 M-81.27 M-45.02 M-149.45 M-36.71 M -36.71 M Cash from financing activities -39.42 M43.38 M25.76 M84.27 M-36.95 M-44.14 M -44.14 M Free cash flow 92.36 M68.2 M50.29 M72.68 M65.75 M60.99 M 60.99 M