Financials
Valor 20212022202320242025 TTM Cash from investing activities -195.01 M-24.82 M54.98 M6.93 M25.93 M 25.93 M Cash from financing activities 234.72 M2.89 M2.14 M2.06 M656 K 656 K Free cash flow -14.51 M-33.26 M-25.39 M-29.26 M-36.18 M -36.18 M