Financials
Valor 202020212022202320242025 TTM Cash from investing activities 26.81 M-101.94 M29.96 M-28.11 M-29.17 M45.37 M 45.37 M Cash from financing activities 4.43 M71.58 M-86.21 M-7.73 M-100.56 M-106.65 M -106.65 M Free cash flow -34.45 M19.27 M55.87 M48.33 M43.22 M39.45 M 43.54 M