Financials
Valor 202020212022202320242025 TTM Cash from investing activities -32 K-32 K-107.37 M59.43 M-21.53 M-94.11 M -94.11 M Cash from financing activities 16.72 M20.77 M111.31 M-7.91 M61.48 M121.01 M 121.01 M Free cash flow -29.03 M-28.95 M-28.33 M-31.85 M-38.29 M-42.1 M -42.1 M