Financials
Valor 202020212022202320242025 TTM Cash from investing activities 36.57 M251.38 M236.84 M-2.54 M-179.21 M620 K 620 K Cash from financing activities -11.65 M-12.21 M-25.39 M26.77 M-13.84 M-1.08 M -1.08 M Free cash flow -21.32 M-300.66 M-176.16 M-136.2 M243.49 M70.87 M 70.87 M