Financials
Valor 202020212022202320242025 TTM Cash from investing activities -7.89 M44.38 M-4.61 M-28.54 M-85.07 M-8.16 M -8.16 M Cash from financing activities -27.73 M-17.53 M-1.68 M22.91 M42.68 M3.7 M 3.7 M Free cash flow 47.78 M19.8 M-14.97 M-44.17 M-74.69 M-11.31 M -11.31 M