Financials
Valor 202020212022202320242025 TTM Cash from investing activities -51.23 M-63.47 M-20.9 M-6.23 M-10.24 M20.1 M -18.52 M Cash from financing activities 58.61 M135.88 M4.5 M14.14 M-9.53 M-10.35 M -26.16 M Free cash flow 2.17 M-61.22 M-34.18 M-1.2 M107 K31.11 M 50.24 M