Financials
Valor 202020212022202320242025 TTM Cash from investing activities -74 K-79.17 M23.69 M55.78 M0— — Cash from financing activities 181.03 M643 K-241 K49.14 M-1.62 M43.48 M 43.48 M Free cash flow -27.59 M-35.97 M-41.69 M-33.28 M-55.96 M-33.33 M -33.33 M