Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-863 K-5.23 M-3.83 M2.82 M-606.68 M -606.68 M Cash from financing activities —180.86 M-103.14 M42.06 M52.46 M691.31 M 691.31 M Free cash flow —-20.43 M-49.69 M-22.14 M-49.23 M-46.32 M -46.32 M