Financials
Valor Q4, 24Q1, 25Q2, 25Q3, 25 TTM Cash from investing activities -14.12 K-186.41 K-188.74 K347.11 K -42.17 K Cash from financing activities 215.58 K282.13 K199.14 K8.15 M 8.85 M Free cash flow -277.57 K-322.62 K92.51 K-1.91 M -2.41 M