Financials
Valor 202020212022202320242025 TTM Cash from investing activities -28.43 M-34.69 M-369.74 M57.4 M-53.08 M-42.36 M -42.36 M Cash from financing activities 24.41 M12.95 M5.71 M-157.66 M-114.3 M-53.88 M -53.88 M Free cash flow -32.98 M52.5 M299.82 M69.92 M-5.72 M18.06 M 18.06 M