Financials
Valor 202020212022202320242025 TTM Cash from investing activities -11.97 K-40.58 K-2.23 M-2.62 M-6.04 M-788.33 M -788.33 M Cash from financing activities 26.65 M8.39 M8.35 M19.31 M99.14 M1.48 B 1.48 B Free cash flow -11.55 M-6.82 M-18.43 M-22.06 M-22.25 M-36.98 M -36.98 M