Financials
Valor 202020212022202320242025 TTM Cash from investing activities -49.05 M-47.9 M33.02 M37.79 M29.44 M2.5 M 2.5 M Cash from financing activities 188.81 M-4.17 M867 K7.58 M3.44 M9.77 M 9.77 M Free cash flow -26.42 M-37.62 M-54.75 M-38.43 M-39.56 M-27.2 M -27.2 M