Financials
Valor 202020212022202320242025 TTM Cash from investing activities -34.71 M6.08 M-13.32 M-10.17 M43.03 M-8.57 M -8.57 M Cash from financing activities 42.08 M29.92 M5.43 M2.21 M-38.78 M-13.43 M -13.43 M Free cash flow -15.05 M-54.05 M-46.61 M-3 M28.46 M-2.08 M -2.08 M