Financials
Valor 202020212022202320242025 TTM Cash from investing activities -52.89 M-61.08 M-10.37 M-24.71 M-200.12 M-64.94 M -64.94 M Cash from financing activities 32.16 M13.7 M-9.23 M-7.13 M158.1 M-14.54 M -14.54 M Free cash flow 31.82 M30.22 M22.15 M29.49 M37.16 M74.47 M 74.47 M