Financials
Valor 202020212022202320242025 TTM Cash from investing activities 719.28 M-36.1 M-17.49 M-17.6 M-1.01 M-11.03 M -11.03 M Cash from financing activities -714.85 M2.56 M-5.19 M-2.88 M-13.24 M-2.45 M -2.45 M Free cash flow -8.22 M-2.63 M-10.23 M8.85 M-7.24 M-7.25 M -7.25 M