Financials
Valor 202020212022202320242025 TTM Cash from investing activities 32.76 M3.02 M-26.29 M44.98 M-18.28 M-37.83 M -37.83 M Cash from financing activities 192.35 M78.68 M164 K88.33 M355 K101.64 M 101.64 M Free cash flow -76.33 M-116.55 M-80.33 M-79.02 M-80.87 M-82.5 M -82.5 M