Financials
Valor 202020212022202320242025 TTM Cash from investing activities -841 K-1.19 M-3.71 M-6.09 M-1.29 M-11.88 M -11.88 M Cash from financing activities 228.01 M2.85 M1.45 M169.83 M332.11 M561.72 M 561.72 M Free cash flow -54.4 M-66.74 M-63.32 M-76.32 M-135.97 M-216.89 M -216.89 M