Financials
Valor 2022202320242025 TTM Cash from investing activities -84.58 M-120.67 M-115.32 M-127.66 M -127.66 M Cash from financing activities -57.81 M-30.73 M-37.27 M-44.33 M -44.33 M Free cash flow 62.46 M21.28 M39.68 M42.69 M 42.69 M