Financials
Valor 202020212022202320242025 TTM Cash from investing activities -13.3 M-2.03 M-6.48 M-13.35 M27.84 M-43.55 M -43.55 M Cash from financing activities -25.85 M154.33 M-84.48 M-93.8 M-93.51 M138.4 M 138.4 M Free cash flow 32.23 M-94.41 M88.66 M205.54 M21.55 M208.45 M 208.45 M