Financials
Valor 202020212022202320242025 TTM Cash from investing activities -316.99 M247.62 M59.89 M-674 K-403 K-313 K -313 K Cash from financing activities 692.18 M392.24 M365.66 M394.5 M149.24 M8.88 M 8.88 M Free cash flow -165.91 M-564.23 M-515.27 M-595.51 M-88.27 M45.01 M 45.01 M