Financials
Valor 202020212022202320242025 TTM Cash from investing activities -6.89 M-197.79 M-28.51 M-15.98 M-67.69 M11.41 M 11.41 M Cash from financing activities -18.61 M143.86 M-34.12 M-67.15 M-10.23 M-48.62 M -48.62 M Free cash flow 20.84 M61.7 M134.15 M53.79 M65.52 M49.43 M 53.73 M