Financials
Valor 202020212022202320242025 TTM Cash from investing activities 44.18 M147.62 M-335.74 M-159.22 M-23.96 M-8.74 M -8.74 M Cash from financing activities 76.86 M-20.12 M-201 M176.58 M-20.76 M15.91 M 15.91 M Free cash flow -101.79 M153.68 M205.96 M-28.28 M46.96 M23.02 M 23.02 M