Financials
Valor 202020212022202320242025 TTM Cash from investing activities -586 K-79 K-248 K-30.48 M-85.06 M60.8 M 60.8 M Cash from financing activities 49.94 M27.77 M32 K116.41 M240.53 M640.36 M 640.36 M Free cash flow -12.72 M-18.3 M-28.94 M-8.4 M-117.97 M-200.6 M -200.6 M