Financials
Valor 20212022202320242025 TTM Cash from investing activities -56.94 M-102.35 M-32.31 M-26.29 M-16.9 M -16.9 M Cash from financing activities 186.89 M-9.57 M-20.18 M-41.91 M-14.91 M -14.91 M Free cash flow -7.02 M4 00019.25 M23.14 M9.85 M 9.85 M