Financials
Valor 202020212022202320242025 TTM Cash from investing activities -111.05 M-2.65 M-663.26 M-67.87 M-46.54 M-26 M -26 M Cash from financing activities -32.74 M-78.14 M359.26 M-120.69 M-112.71 M-58.15 M -58.15 M Free cash flow -25.49 M-9.22 M34.15 M-43.33 M34.81 M-66.85 M -66.85 M