Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.51 M-18.88 M-7 M-53.53 M-297.89 M-3.25 M -3.25 M Cash from financing activities -32.14 M-8.4 M-21.26 M-38.6 M206.26 M-94.15 M -94.15 M Free cash flow 40.63 M-4.76 M31.43 M96.22 M59.96 M68.61 M 68.61 M