Financials
Valor 202020212022202320242025 TTM Cash from investing activities -89.37 K-81.4 K-144.03 M-5.01 M-63.07 M-64.08 M -64.08 M Cash from financing activities 137.97 K93.04 M120.33 M64.91 M138.39 M360.55 M 360.55 M Free cash flow -7.06 M-20.39 M-36.17 M-53.91 M-83.72 M-153.53 M -153.53 M