Financials
Valor 202020212022202320242025 TTM Cash from investing activities 24.16 M-50.2 M223.09 M172.82 M297.27 M-33.25 M -33.25 M Cash from financing activities 32.7 M45.71 M-260.81 M-121.37 M-286.15 M57.43 M 57.43 M Free cash flow -13.92 M-15.6 M1.11 M-46.46 M290 K-8.3 M -8.3 M