Financials
Valor 202020212022202320242025 TTM Cash from investing activities -331.94 K-2.59 M-3.54 M-86.54 M629.54 K9 M — Cash from financing activities 37.25 K16.47 M1.75 M89.67 M-241.75 K0 — Free cash flow -2 M-4.13 M-5.59 M-5.15 M717.82 K-3.69 M —