Financials
Valor 202020212022202320242025 TTM Cash from investing activities 68.07 M26.52 M90.64 M-69.14 M40.17 M-113.47 M -113.47 M Cash from financing activities 7.6 M53.06 M614 K13.82 M29.45 M174.67 M 174.67 M Free cash flow -63.43 M-96.49 M-84.56 M22.49 M-51.15 M-41.16 M -41.16 M