Financials
Valor 202020212022202320242025 TTM Cash from investing activities 000165 K0-30.64 K -30.64 K Cash from financing activities 847.54 K764.6 K725.05 K483.14 K1.1 M3.11 M 3.11 M Free cash flow -959.07 K-1.07 M-546.66 K-806.16 K-1.08 M-1.57 M -1.54 M