Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.22 M-3.26 M-59.13 M25.64 M-125.26 M14 M 14 M Cash from financing activities 77.14 M732 K161 K92.48 M184.07 M30.43 M 30.43 M Free cash flow -26.79 M-50.82 M-46.72 M-51.74 M-71.41 M-78.36 M -78.36 M