Financials
Valor 202020212022202320242025 TTM Cash from investing activities -23.86 M-157.76 M-58.28 M-141.97 M-93.14 M-53.41 M -53.41 M Cash from financing activities 130.83 M311.97 M31.23 M356.92 M56.21 M30.02 M 30.02 M Free cash flow -70.3 M-141.98 M-133.42 M-165.46 M-137.79 M-4.41 M -4.41 M