Financials
Valor 20212022202320242025 TTM Cash from investing activities -838.03 K-799.41 K-860.72 K-230.31 K-453.75 M -453.75 M Cash from financing activities 30.03 M40.41 M27.08 M10.37 M478.37 M 969.07 M Free cash flow -25 M-34.45 M-30.52 M-16.35 M-469.73 M -18.05 M