Financials
Valor 202020212022202320242025 TTM Cash from investing activities -76.46 M-138.65 M-118.58 M9.4 M-8.73 M-1.08 B -1.08 B Cash from financing activities 43.24 M94.11 M-42.92 M-129.06 M-134.74 M817.24 M 817.24 M Free cash flow -41.32 M-62.2 M74.54 M53.15 M115.73 M-589.98 M -589.98 M