Financials
Valor 20212022202320242025 TTM Cash from investing activities -13.28 M-17.84 M-30.17 M-5.86 M25.4 M 25.4 M Cash from financing activities 10.64 M-2.07 M-16.17 M-33.62 M-52.92 M -52.92 M Free cash flow 4.5 M26.82 M50.54 M47.05 M33.06 M 33.06 M