Financials
Valor 202020212022202320242025 TTM Cash from investing activities -25.19 M-29.63 M-31.15 M-31.96 M-26.86 M-62.48 M -62.48 M Cash from financing activities -4.08 M-4.27 M-5.18 M-5.71 M-9.1 M-9.39 M -9.39 M Free cash flow 41.44 M25.77 M37.55 M58.01 M98.61 M102.27 M 102.27 M