Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.29 M5.51 M-2.12 M-8.79 M-10.43 M54.55 M 54.55 M Cash from financing activities 4.27 M8.43 M-5.6 M-15.59 M-112.11 M-4.29 M -4.29 M Free cash flow 206 K-24.71 M2.53 M11.99 M163.65 M-89.12 M -85.09 M