Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-3.47 M-107.61 M-5.78 M-9.27 M-1.39 M -1.39 M Cash from financing activities —274.55 M-5.81 M88.38 M3.5 M194.64 M 194.64 M Free cash flow —-43.77 M-49.14 M-44.88 M-65.59 M-44.37 M -44.37 M