Financials
Valor 20212022202320242025 TTM Cash from investing activities -232.2 M57.86 M71.04 M57.58 M44.3 M 44.3 M Cash from financing activities 311.11 M503 K253 K108 K19 K 19 K Free cash flow -59.4 M-78.46 M-69.73 M-61.33 M-39.92 M -39.85 M