Financials
Valor 202020212022202320242025 TTM Cash from investing activities -484.49 K-73.42 M30.07 M35.64 M-121.31 M-1.64 M -1.64 M Cash from financing activities 154.87 M60.82 M-533.62 K-2.82 M166.58 M77.43 M 77.43 M Free cash flow -100.17 M-48.24 M-37.56 M-36.1 M-41.79 M-64.5 M -64.49 M