Financials
Valor 202020212022202320242025 TTM Cash from investing activities -230 M-12.15 M-131.61 M62.64 M46.21 M-3.07 M -3.07 M Cash from financing activities 231.47 M154.01 M92.21 M-6.85 M-3.49 M11.56 M 11.56 M Free cash flow -582.53 K-35.73 M-67.28 M-40.88 M-30.33 M-27.79 M -27.79 M