Financials
Valor 20212022202320242025 TTM Cash from investing activities -35.68 M-63.11 M-123.37 M-206.65 M-213.76 M -213.76 M Cash from financing activities -14.27 M-2.02 M28.07 M74.33 M75.79 M 75.79 M Free cash flow 27.29 M-393 K10.65 M-12.38 M-31.84 M -31.84 M