Financials
Valor 202020212022202320242025 TTM Cash from investing activities -16.72 M-1.63 M76.52 M-148.41 M-36 M-173.84 M -173.84 M Cash from financing activities 96.88 M49.1 M-1.23 M234.29 M133.16 M218.87 M 218.87 M Free cash flow -37.42 M-46.78 M-35.93 M-61.42 M-73.24 M-70.46 M -70.46 M