Financials
Valor 202020212022202320242025 TTM Cash from investing activities -39.14 M-57.06 M-34.5 M-16.06 M-7.53 M-8.28 M -8.28 M Cash from financing activities 47.36 M56.62 M13.41 M55.83 M27.53 M37.44 M 37.44 M Free cash flow 42.12 M-87.96 M-66.93 M-69.9 M-25.38 M-42.57 M -42.57 M