Financials
Valor 20202021202220232024 TTM Cash from investing activities -10.15 M-5.24 M8.18 M-18.13 M-66.1 M — Cash from financing activities 6.54 M41.89 M15.47 M27.53 M96.08 M — Free cash flow -24.64 M-21.55 M-27.15 M-13.73 M16.15 M -152.85 M