Financials
Valor 202020212022202320242025 TTM Cash from investing activities -66.06 M-108.31 M-80.2 M-60.45 M-30.35 M-28.12 M -28.12 M Cash from financing activities 97.35 M65.32 M36.58 M67.51 M19.52 M42.13 M 42.13 M Free cash flow 5.14 M9 M11.27 M11.6 M5.66 M9.08 M 9.08 M