Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.32 M-19.3 M-495 K-17.09 M-42.57 M-67.59 M -67.59 M Cash from financing activities -4.69 M15.87 M-13.35 M-16.49 M-9.12 M-11.7 M -11.7 M Free cash flow 38.33 M-25.02 M34.38 M55.1 M29.26 M41.89 M 41.89 M