Financials
Valor 202020212022202320242025 TTM Cash from investing activities -82.56 M-139.68 M-39.02 M20.29 M-22.9 M36.19 M 36.19 M Cash from financing activities 182.61 M264.08 M-2.61 M2.73 M151.75 M-235.78 M -235.78 M Free cash flow -35.17 M-34.95 M-39.7 M-35.43 M12.44 M-1.04 M -1.04 M