Financials
Valor 20212022202320242025 TTM Cash from investing activities -4.2 M-70.55 M-39.43 M-425.03 M194.29 M 194.29 M Cash from financing activities 53.88 M101.93 M133.54 M606.67 M308.9 M 308.9 M Free cash flow -23.71 M-67.66 M-92.24 M-135.65 M-241.73 M -241.73 M