Financials
Valor 202020212022202320242025 TTM Cash from investing activities 96.58 M-103.89 M-234.69 M-53.2 M-20.94 M196 K 196 K Cash from financing activities -56.47 M68.88 M151.94 M24.73 M58.7 M-111.07 M -111.07 M Free cash flow 21.65 M32.98 M31.31 M31.28 M31.13 M30.1 M 30.1 M