Financials
Valor 202020212022202320242025 TTM Cash from investing activities -4.16 M-336.67 M-13.67 M-13.77 M-21.08 M4.8 M 4.8 M Cash from financing activities -15.71 M242.34 M-35.71 M-16.86 M-13.19 M-49.21 M -49.21 M Free cash flow 39.88 M4.44 M12.83 M31.62 M27.79 M46.1 M 46.1 M