Financials
Valor 20212022202320242025 TTM Cash from investing activities -2.83 M-59.63 M-6.52 M-147.43 M-96.37 M -96.37 M Cash from financing activities -6.6 M24.46 M-24.72 M152.67 M31.59 M 31.59 M Free cash flow 37.26 M41.91 M66.48 M26.11 M56.85 M 56.85 M