Financials
Valor 20212022202320242025 TTM Cash from investing activities -114.97 M34.44 M68.98 M-121.09 M2.83 M 2.83 M Cash from financing activities 177.23 M0841 K130.73 M-21 K -21 K Free cash flow -36.07 M-37.37 M-20.6 M-20.21 M-54.54 M -54.36 M