Financials
Valor 202020212022202320242025 TTM Cash from investing activities -69.17 M10.58 M5 M33.49 M44.07 M68.66 M — Cash from financing activities 90.95 M5.83 M1.67 M35.96 M42.35 M72.63 M — Free cash flow -11.95 M19.26 M4.53 M6.88 M2.54 M6.17 M —