Financials
Valor 202020212022202320242025 TTM Cash from investing activities -45.89 K-307.55 K-53.7 M-582 K-270 K-480 K -480 K Cash from financing activities 42.41 M11.13 M284.58 M331.01 M57.84 M101.47 M 101.47 M Free cash flow -78.5 M-108.53 M-117.21 M-145.66 M-128.68 M-93.89 M -93.89 M