Financials
Valor 202020212022202320242025 TTM Cash from investing activities -27.04 M-70.83 M-57.88 M-36.6 M-41.65 M-36.21 M -36.21 M Cash from financing activities -74.37 M24.66 M25.94 M-54.68 M-12.86 M-57.62 M -57.62 M Free cash flow 55.8 M23.37 M-6.96 M67.19 M9.97 M63.3 M 63.3 M