Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.34 M-560 K-1.25 M-1.11 M-938 K-718 K -718 K Cash from financing activities 154.54 M55.83 M67.19 M132.53 M253.89 M488.24 M 488.24 M Free cash flow -117.32 M-89.55 M-129.14 M-20.55 M-151.96 M-188.21 M -188.21 M