Financials
Valor 202020212022202320242025 TTM Cash from investing activities 43.52 M36.6 M67.98 M39.27 M55.31 M25.56 M 25.56 M Cash from financing activities -1.42 M-3.27 M200 K154 K144 K22.31 M — Free cash flow -52.09 M-59.6 M-56 M-53.79 M-41.28 M-49.61 M -49.61 M