Financials
Valor 202020212022202320242025 TTM Cash from investing activities -6.69 M-12.48 M-18.91 M-13.45 M-18.94 M-22.64 M -22.64 M Cash from financing activities -28.71 M-22.79 M-29.19 M-40.45 M-32.65 M-21.7 M -21.7 M Free cash flow 33.86 M35.06 M18.63 M19.36 M27.7 M25.44 M 25.44 M