Financials
Valor 202020212022202320242025 TTM Cash from investing activities 208.96 M32.73 M-3.32 M18 M18.71 M16.01 M 16.01 M Cash from financing activities 9.11 M156.03 M75.06 M54.11 M940 K14.43 M 14.43 M Free cash flow -191.63 M-206.38 M-148.74 M-60.33 M-24.23 M-27.91 M -27.91 M