Financials
Valor 202020212022202320242025 TTM Cash from investing activities 159.78 M-5.05 M206.69 M-502.52 M-274.39 M32.32 M 32.32 M Cash from financing activities 5.09 M171.24 M313.45 M595.12 M735.06 M255.98 M 255.98 M Free cash flow -157.9 M-184.13 M-225.07 M-325.71 M-462.03 M-193.02 M -193.02 M