Financials
Valor 202020212022202320242025 TTM Cash from investing activities -37.02 M-61.72 M-44.96 M34.03 M23.48 M-4.11 M -4.11 M Cash from financing activities 82.73 M1.71 M95.2 M84.02 M54.53 M12.27 M 12.27 M Free cash flow -87.02 M-56.88 M-118.06 M-125.54 M-109.45 M-50.19 M -50.19 M