Financials
Valor 202020212022202320242025 TTM Cash from investing activities -10.12 M-506.69 M-15.76 M-10.06 M-18.75 M-15.3 M -15.3 M Cash from financing activities 206.43 M486 M-39.99 M-20.03 M1.44 M-11.12 M -11.12 M Free cash flow -17.71 M-51.09 M-67.39 M-12.58 M-28.12 M-6.49 M -6.49 M