Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-8.22 M4.84 M-173 K-1.57 M-884 K -884 K Cash from financing activities —266.98 M-1.45 M4.51 M114.18 M61.49 M 61.49 M Free cash flow —-81.41 M-72.18 M-75.58 M-99.69 M-105.93 M -105.93 M