Financials
Valor 202020212022202320242025 TTM Cash from investing activities -161.08 M-324.02 M166.75 M112.67 M12.22 M111.17 M 111.17 M Cash from financing activities 282.84 M453.13 M9.21 M85 K99.89 M5.49 M 5.49 M Free cash flow -44.16 M-213.57 M-283.77 M-138.42 M-123.6 M-112.04 M -112.04 M