Financials
Valor 202020212022202320242025 TTM Cash from investing activities -9 000-56 K-11 K-29 K-5 000-426.53 M — Cash from financing activities 9.64 M21.13 M17.87 M1.08 M6.95 M449.24 M 449.24 M Free cash flow -11.81 M-13.44 M-14.33 M-10.45 M-11.05 M-437.19 M -16.51 M