Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-42.28 K-187.84 M-16.27 M-43.91 M-62.33 M -62.33 M Cash from financing activities —1 M52.79 M54.87 M75.09 M7.33 M 7.33 M Free cash flow —-1.97 M-28.54 M-8.5 M-11.36 M-11.85 M -11.85 M