Financials
Valor 202020212022202320242025 TTM Cash from investing activities -16.13 M-20.54 M11.54 M-18.3 M8.56 M-2.19 M -2.19 M Cash from financing activities 28.84 M30.09 M-6 00036.84 M11.99 M43.88 M 43.88 M Free cash flow -9.23 M-12.27 M-11.59 M-18.75 M-22.1 M-29.1 M -29.1 M