Financials
Valor 202020212022202320242025 TTM Cash from investing activities -3.5 M-2.32 M-6.87 M-4.43 M18.99 M-4.94 M -4.94 M Cash from financing activities -15.7 M-34.13 M-18.94 M-16.2 M-37.91 M-19.55 M -19.55 M Free cash flow 42.79 M39.62 M7.72 M8.84 M17.04 M24.99 M 24.99 M