Financials
Valor 202020212022202320242025 TTM Cash from investing activities 2.83 M-98.19 M14.95 M53.11 M19.16 M-139.49 M -139.49 M Cash from financing activities 189.4 M-228 K-90 K-91 K139.87 M82.72 M 82.72 M Free cash flow -24.29 M-35.1 M-26.58 M-37.6 M-35.87 M-56.46 M -56.46 M