Financials
Valor 202020212022202320242025 TTM Cash from investing activities -41.62 M-20.12 M-24.24 M-30.22 M-70.68 M-227.97 M -227.97 M Cash from financing activities -8.95 M43.49 M12.08 M1.11 M49.57 M172.46 M 172.46 M Free cash flow 42.95 M-24.53 M-5.13 M24.98 M30.31 M36.26 M 36.26 M