Financials
Valor 202020212022202320242025 TTM Cash from investing activities -24.15 M-7.02 M-8.92 M-9.51 M-1.64 M91.2 M 91.2 M Cash from financing activities 1.89 M473.12 K15.93 M-10.87 M-22.39 M-72.52 M -72.52 M Free cash flow 20.11 M3.46 M-12.8 M17.79 M22.74 M4 000 4 000