Financials
Valor 202020212022202320242025 TTM Cash from investing activities 204.9 M-50.79 M36.72 M101.33 M19.93 M7 M 7 M Cash from financing activities 53.09 M52.17 M596 K184 K95.14 M-3.13 M -3.13 M Free cash flow -98.06 M-112.15 M-114.95 M-96.46 M-67.79 M-33.54 M -33.54 M