Financials
Valor 202020212022202320242025 TTM Cash from investing activities -16.8 M-258 K-11.01 M-17.67 M-26.43 M-2 M -2 M Cash from financing activities -6.74 M-4.4 M-1.83 M-8.95 M-12.96 M-9.06 M -9.06 M Free cash flow 37.97 M4.71 M4.56 M42.12 M33.74 M16.6 M 16.6 M