Financials
Valor 202020212022202320242025 TTM Cash from investing activities -42.66 M-47.63 M-123.72 M-241.71 M-201.55 M-273.7 M -273.7 M Cash from financing activities -826 K-2.15 M-33.58 M-56.16 M-45.17 M-43.63 M -43.63 M Free cash flow 12.89 M-19.93 M61.73 M213.76 M129.46 M52.92 M 52.92 M