Financials
Valor 202020212022202320242025 TTM Cash from investing activities 17.06 M-6.32 M-6.51 M31.63 M-2.88 M-28.53 M — Cash from financing activities 1.83 M2.81 M39.66 M01 00011.14 M — Free cash flow -19.81 M-16.01 M-38.21 M-32.23 M2.71 M15.5 M -91.99 M