Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.05 M-40.93 M-18.61 M-69.16 M-149.02 M-287.42 M -287.42 M Cash from financing activities 5.25 M106.19 M18.71 M52.22 M242.86 M599.08 M 599.08 M Free cash flow -7.92 M-29.72 M-27.83 M-65.55 M-106.99 M-574.85 M -574.85 M