Financials
Valor 20212022202320242025 TTM Cash from investing activities -21.9 M-6.6 M-4.6 M-20.2 M-29.9 M -29.9 M Cash from financing activities -356.2 M-61.1 M-239.2 M-207.5 M-217.3 M -217.3 M Free cash flow 223.6 M97 M253.9 M293.5 M346.5 M 346.5 M