Financials
Valor 202020212022202320242025 TTM Cash from investing activities -209 K-26.5 M-20.22 M-711 K-28.26 M50.89 M 50.89 M Cash from financing activities 19.79 M12.84 M-4.45 M120.59 M-11.13 M-26.46 M -26.46 M Free cash flow 10.08 M22.68 M-28.13 M-18.18 M-33.94 M-17.85 M 2.87 M