Financials
Valor 202020212022202320242025 TTM Cash from investing activities -117.04 M181.21 M2.9 M129.65 M77.79 M37.95 M 37.95 M Cash from financing activities 293.59 M27.15 M132.26 M2.25 M241 K30.4 M 30.4 M Free cash flow -168.49 M-254.47 M-200.29 M-167.02 M-98.88 M-48.95 M -48.95 M