Financials
Valor 202020212022202320242025 TTM Cash from investing activities 10.04 M7.56 M-401 K-121 K-125 K-335 K -335 K Cash from financing activities 30.89 M62.69 M79.94 M16.39 M110.14 M17.15 M 17.15 M Free cash flow -35.81 M-54.53 M-47.41 M-33.16 M-36.47 M-54.46 M -54.44 M