Financials
Valor 202020212022202320242025 TTM Cash from investing activities 872.65 K-3.09 M-733 K-19 K94 K-12 K -12 K Cash from financing activities —226.83 M-9.51 M1.92 M15.6 M34.58 M 34.58 M Free cash flow -1.75 M-89.8 M-88.65 M-61.96 M-16.65 M-23.29 M -23.27 M