Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.48 M-2.11 M-24.45 M3.08 M6.45 M-4.57 M -4.57 M Cash from financing activities 6.38 M-26.57 M-13.57 M-6.89 M14.02 M-26.6 M -26.6 M Free cash flow 40.62 M64.84 M30.57 M5.25 M-42.23 M55.65 M 55.65 M