Financials
Valor 202020212022202320242025 TTM Cash from investing activities -33.86 M25.98 M3.76 M12.56 M-11.28 M12.1 M 12.1 M Cash from financing activities 62.69 M-5.77 M60.5 M-2.76 M28.77 M-2.91 M -2.91 M Free cash flow -21.98 M-27.69 M-45.88 M-22.73 M-27.21 M-13 M -13 M