Financials
Valor 202020212022202320242025 TTM Cash from investing activities 6.6 M-91.09 M59.16 M9.69 M-16.09 M-58.45 M -58.45 M Cash from financing activities 128.7 M134.99 M74.83 M3.12 M122.44 M194.45 M 194.45 M Free cash flow -57.5 M-79.05 M-100.99 M-95.69 M-100.67 M-157.44 M -157.44 M