Financials
Valor 202020212022202320242025 TTM Cash from investing activities 44.77 M21.56 M-23.28 M15.54 M-27.48 M-7.8 M -7.8 M Cash from financing activities 1.31 M62.16 M62.16 M7.86 M49.03 M36.43 M 36.43 M Free cash flow -34.85 M-36.72 M-27.29 M-23.97 M-25.42 M-32.97 M -32.97 M