Financials
Valor 202020212022202320242025 TTM Cash from investing activities -18.59 M27.41 M18.68 M-4.76 M13.81 M4.46 M 4.46 M Cash from financing activities 53.95 M31.06 M-1.22 M-9.23 M164 K30.43 M 30.43 M Free cash flow -24.83 M-32.14 M-9.01 M-21.83 M-19.11 M-22.79 M -22.79 M