Financials
Valor 20212022202320242025 TTM Cash from investing activities -11.19 M-73.85 M21.66 M-6.13 M-25.34 M -25.34 M Cash from financing activities 106.61 M-6.21 M-8.84 M22.77 M-14.8 M -14.8 M Free cash flow -7.69 M-29.76 M-27.58 M-1.68 M11.29 M 11.29 M