Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.34 M-15.33 M-384.44 M-16.82 M-9.57 M-187.89 M -187.89 M Cash from financing activities -129.27 M537.75 M8.44 M-101.76 M-11.84 M-38.05 M -38.05 M Free cash flow -123.54 M-278.52 M130.87 M214.97 M135.4 M79.81 M 79.81 M