Financials
Valor 20212022202320242025 TTM Cash from investing activities -5.34 M-82.03 M75.16 M-3.45 M9.82 M 9.82 M Cash from financing activities 206.42 M-90 K246 K227 K1.09 M 1.09 M Free cash flow -85.47 M-97.59 M47.93 M-24.36 M-51.64 M -51.64 M