Financials
Valor 202020212022202320242025 TTM Cash from investing activities -100.39 M47.71 M-228.5 M40.45 M-483 K2.16 M 2.16 M Cash from financing activities 163.15 M185.64 M-4.54 M-29.61 M-5.61 M-93.39 M -93.39 M Free cash flow 30.18 M-25.99 M-28.34 M-19.28 M38.05 M41.36 M 42.03 M