Financials
Valor 20212022202320242025 TTM Cash from investing activities -345 M06.17 M-54.66 M-19.34 M 22.04 M Cash from financing activities 347.32 M1.23 M50.42 M120.1 M30.91 M 30.91 M Free cash flow -2.04 M-1.43 M-60.59 M-55.82 M-15.33 M -15.33 M