Financials
Valor 20212022202320242025 TTM Cash from investing activities -50.71 M-230.67 M280.68 M-140 K-155 K -155 K Cash from financing activities 662.68 M506 K1.04 M39.33 M215.63 M 215.63 M Free cash flow -184.82 M-221.69 M-173.78 M-170.63 M-58.29 M -58.29 M