Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-9.87 M-93.78 M70.41 M-2.66 M-3.35 M -3.35 M Cash from financing activities —565.69 M2.88 M228 K-1.5 M77.76 M 77.76 M Free cash flow —-197.06 M-187.42 M-104.6 M-44.4 M-16.05 M -16.05 M