Financials
Valor 202020212022202320242025 TTM Cash from investing activities -316 K-445 K-139 K-20 K-20 K0 — Cash from financing activities 247.36 M102.45 M96.24 M26.52 M36.66 M56.52 M 56.52 M Free cash flow -66.67 M-82.6 M-135.48 M-155.03 M-72.03 M-57.62 M -57.62 M