Financials
Valor 202020212022202320242025 TTM Cash from investing activities -196 K-575 K-464 K-2.77 M-298 K-138 K -138 K Cash from financing activities 215 K190.33 M241.46 M45.1 M1.55 M-139 K -139 K Free cash flow -80.56 M92.03 M-109.28 M-136.72 M-150.35 M-163.72 M -163.72 M