Financials
Valor 202020212022202320242025 TTM Cash from investing activities 20.15 M-28.9 M-1.84 M-59.5 M175.15 M-76.56 M -76.56 M Cash from financing activities -5.46 M-13.44 M-2.9 M-1.03 M-1.23 M-19.91 M -19.91 M Free cash flow -177.85 M-165.88 M-93.98 M-46.26 M5.69 M-190 K -190 K