Financials
Valor 20212022202320242025 TTM Cash from investing activities -17.04 M-3.66 M-10.85 M-8.39 M-27.95 M -27.95 M Cash from financing activities 20.6 M-36.59 M-67.17 M-71.19 M-5.3 M -5.3 M Free cash flow -8.21 M36.3 M81.38 M72 M-15.98 M -15.98 M