Financials
Valor 202020212022202320242025 TTM Cash from investing activities -32.69 M9.25 M-113.53 M-11.29 M-100.19 M18.4 M 18.4 M Cash from financing activities -34.88 M-92.82 M290 K-76.75 M8.59 M-68.56 M -68.56 M Free cash flow 19.36 M82.6 M103.37 M80.52 M-81.72 M-23.41 M -23.41 M