Financials
Valor 202020212022202320242025 TTM Cash from investing activities -31.44 M50.95 M18.41 M-131.25 M-18.32 M-8.96 M -8.96 M Cash from financing activities 22.78 M83 M75.34 M146.29 M106.59 M54.51 M 54.51 M Free cash flow -81.76 M-154.42 M-70.1 M-90.06 M-45.82 M-43.98 M -43.98 M