Financials
Valor 202020212022202320242025 TTM Cash from investing activities -4.35 M-5.16 M-34.84 M5.65 M5.89 M4.33 M 4.33 M Cash from financing activities 117.22 M6.35 M-27.38 M8 0001.36 M1.94 M 1.94 M Free cash flow -29.36 M6.97 M-31.02 M-18.45 M-12.8 M-11.68 M -11.68 M