Financials
Valor 20212022202320242025 TTM Cash from investing activities -88.88 M-429.99 M42.5 M64.2 M-19.9 M -19.9 M Cash from financing activities 622.8 M485 K173 K-9.43 M89.48 M 89.48 M Free cash flow -25.44 M-33.82 M-58.26 M-63.9 M-73.39 M -73.39 M