Financials
Valor 202020212022202320242025 TTM Cash from investing activities -5 413-3 199-7 414-2 M-1 M-28.89 M — Cash from financing activities -3.48 M37.13 M14.48 M-1.64 M-5.12 M23.13 M 23.13 M Free cash flow -8.11 M-8.71 M-11.22 M-5.18 M-4.88 M-34.54 M -6.4 M