Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.38 M-217.71 M-210.98 M-331.93 M-920.4 M-305.66 M 29.88 M Cash from financing activities 4.31 M268.06 M141.96 M371.07 M1.25 B688.87 M 654.12 M Free cash flow -6.68 M-174.66 M51.93 M-91.85 M-299.76 M-605.69 M -702.9 M