Financials
Valor 202020212022202320242025 TTM Cash from investing activities 47.22 M102.76 M-767 K02.25 M-319 K -319 K Cash from financing activities -49.31 M-2.3 M-2.22 M2.98 M55 K3.18 M 3.18 M Free cash flow -25.11 M-61.78 M-45.75 M-21.83 M-5.03 M-5.13 M -5.13 M