Financials
Valor 202020212022202320242025 TTM Cash from investing activities -621 K-263.8 M81.69 M-34.65 M90.19 M53.46 M 53.46 M Cash from financing activities 246.23 M164.9 M815 K136.4 M-120 K24.82 M 24.82 M Free cash flow -46.8 M-85.85 M-86.75 M-110.58 M-103.65 M-56.37 M -56.37 M