Financials
Valor 202020212022202320242025 TTM Cash from investing activities -5.56 M-7.16 M-34.79 M-24.55 M-15.61 M-7.03 M -7.03 M Cash from financing activities 64.67 M4.05 M100.25 M86.23 M125.89 M40.43 M 40.43 M Free cash flow -16.42 M-31.4 M-56.51 M-97.75 M-71.66 M-57.61 M -57.61 M