Financials
Valor 202020212022202320242025 TTM Cash from investing activities -146.32 M-10.44 M49.44 M110.86 M-8.51 M-7.89 M -7.89 M Cash from financing activities 330.87 M1.93 M171 K48.62 M787 K44.57 M 44.57 M Free cash flow -34.39 M-65.04 M-106.11 M-81.64 M-60.57 M-39.95 M -39.95 M