Financials
Valor 202020212022202320242025 TTM Cash from investing activities -26.9 M-16.2 M-48.4 M-44.9 M-27.5 M10.3 M 5.6 M Cash from financing activities 83.6 M-32.3 M-23.8 M-200 K-3.3 M-75.9 M -202.4 M Free cash flow -10.3 M77.5 M11.5 M87.7 M20.4 M18.8 M -13.3 M