Financials
Valor 202020212022202320242025 TTM Cash from investing activities -138.03 M-12.64 M175.96 M-22.65 M-28.65 M-29.58 M -29.58 M Cash from financing activities 105.77 M-75.58 M-193.24 M-211.02 M-24.5 M-51.48 M -51.48 M Free cash flow 59.58 M51.56 M81.07 M162.95 M242.45 M170.07 M 170.07 M