Financials
Valor 202020212022202320242025 TTM Cash from investing activities 86.63 M29.14 M-19.6 M-294.82 M-113.12 M21.45 M 21.45 M Cash from financing activities 134.06 M14.95 M235.08 M13.95 M-52.39 M-183.45 M -183.45 M Free cash flow -55.5 M-24.79 M2.47 M1.02 M91.12 M78.48 M 78.48 M