Financials
Valor 202020212022202320242025 TTM Cash from investing activities -68.97 M-93.53 M-63.22 M-1.22 M-882 K8.8 M 8.8 M Cash from financing activities 107.9 M-8.18 M94.15 M-61.38 M-202.31 M-63.45 M -63.45 M Free cash flow 34.3 M40.62 M29.11 M48.72 M23.36 M24.45 M 24.45 M