Financials
Valor 202020212022202320242025 TTM Cash from investing activities 27.91 M-143.58 M-1.37 M-50.55 M53.35 M70.17 M 70.17 M Cash from financing activities 292.97 M2.02 M958 K35.58 M313 K505 K 505 K Free cash flow -32.89 M-47.96 M-63.96 M-55.66 M-51.94 M-73.61 M -73.6 M