Financials
Valor 20212022202320242025 TTM Cash from investing activities -104.74 M-2.32 M25.17 M-54 K-55.08 M -44.92 M Cash from financing activities 138.79 M72.78 M-4.23 M42.37 M79.66 M 79.66 M Free cash flow -32.47 M-80.16 M-31.03 M-11.59 M-23.54 M -23.54 M