Financials
Valor 202020212022202320242025 TTM Cash from investing activities -18.34 M-35.37 M-16.32 M-25.95 M-51.3 M-15.14 M -15.14 M Cash from financing activities 82.97 M49.13 M97.76 M-16.32 M101.16 M-19.94 M -19.94 M Free cash flow 2.58 M13.26 M25.58 M33.22 M18.43 M25.27 M 25.27 M