Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-134.09 M-25.04 M-4.45 M2.02 M-32.23 M -32.23 M Cash from financing activities —77.16 M2.85 M-69.01 M-34.6 M-32.61 M -32.61 M Free cash flow —6.35 M-1.28 M82.16 M40.09 M13.67 M 13.67 M