Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-5.52 M-5.58 M-4.23 M-5.34 M-8.62 M -8.62 M Cash from financing activities —5.49 M-52.11 M-13.04 M-58.85 M-105.01 M -105.01 M Free cash flow —-1.1 M45.06 M31.92 M89.61 M132.9 M 132.9 M