Financials
Valor 202020212022202320242025 TTM Cash from investing activities 200 K-48.15 M25.05 M-8.81 M-4.54 M18.84 M 18.84 M Cash from financing activities -12.27 M-11.47 M-18.28 M-7.47 M-3.64 M-2.78 M -2.78 M Free cash flow 50.47 M28.47 M-31.55 M25 M37.52 M-15.49 M -15.49 M