Financials
Valor 20212022202320242025 TTM Cash from investing activities -21.53 M-18.75 M-27.16 M-27.47 M-35.76 M -35.76 M Cash from financing activities 37.05 M2.25 M22.84 M-10.82 M4.3 M 4.3 M Free cash flow 3.81 M8.27 M9.63 M20.75 M33.06 M 33.43 M