Financials
Valor 202020212022202320242025 TTM Cash from investing activities 2.24 M5.1 M-133.51 M-31.52 M15.48 M32.14 M 32.14 M Cash from financing activities 3.16 M-24.49 M118.2 M-5.47 M-20.56 M-65.36 M -65.36 M Free cash flow 13.51 M10.63 M22.25 M913 K3.46 M4.03 M 4.03 M