Financials
Valor 202020212022202320242025 TTM Cash from investing activities -61.43 M-100.15 M-23.05 M-20.37 M-20.74 M-20.15 M -20.15 M Cash from financing activities 12.26 M71.03 M6.19 M-32.7 M-33.38 M-49.87 M -49.87 M Free cash flow 41.74 M-19.07 M-5.62 M35.16 M34.25 M47.11 M 47.11 M