Financials
Valor 202020212022202320242025 TTM Cash from investing activities -22.25 M35.93 M-210.72 M21.52 M10.13 M50.11 M 50.11 M Cash from financing activities -31.03 M-16.43 M111.64 M-14.87 M19.74 M-69.94 M -69.94 M Free cash flow 4.06 M3.72 M10.61 M1.12 M-3.15 M3.13 M 3.13 M