Financials
Valor 202020212022202320242025 TTM Cash from investing activities -79.96 M-8.2 M-69.74 M-66.05 M-90.29 M-64.25 M -61.66 M Cash from financing activities 119.4 M12.41 M14.28 M99.17 M37.04 M35.35 M 26.09 M Free cash flow 667 K8.84 M8.2 M8.48 M6.32 M9.81 M 10.95 M