Financials
Valor 202020212022202320242025 TTM Cash from investing activities 22.04 M-229.4 M-148.86 M-15.25 M-228.09 M-113.61 M -113.61 M Cash from financing activities -56.26 M68.3 M-37.46 M-47.12 M-47.13 M-52.12 M -52.12 M Free cash flow 12.13 M227.15 M319.62 M66.95 M129.99 M377.06 M 377.06 M