Financials
Valor 202020212022202320242025 TTM Cash from investing activities -78.62 M-43.66 M-18.97 M-33.45 M-23.6 M-20.32 M -20.32 M Cash from financing activities 121.04 M10.09 M4.44 M10.6 M7.99 M6.32 M 6.32 M Free cash flow 5.89 M6.68 M-41.03 M41.08 M27.24 M119.23 M 119.23 M