Financials
Valor 202020212022202320242025 TTM Cash from investing activities -35.58 M-178.14 M-7.75 M-11.42 M165.16 M2.77 M 2.77 M Cash from financing activities 22.25 M180.68 M-13.86 M-20.25 M-123.24 M-5.88 M -5.88 M Free cash flow 23.98 M-17.69 M6.36 M28.3 M-13.14 M-9.91 M -9.91 M