Financials
Valor 202020212022202320242025 TTM Cash from investing activities -4.66 M-56.81 M-14.16 M-26.35 M-18.4 M-33.78 M -33.78 M Cash from financing activities 3.51 M19.24 M602 K-7.26 M-19.25 M-3.66 M -3.66 M Free cash flow 16.31 M10.58 M2.5 M29.74 M39.23 M61.38 M 61.38 M