Financials
Valor 202020212022202320242025 TTM Cash from investing activities -14.97 M-18.55 M-12.24 M-22.13 M-21.37 M-25.12 M -25.12 M Cash from financing activities -44.17 M-23.25 M-16.32 M-7.71 M-27.4 M-595 K -595 K Free cash flow 52.41 M24.1 M13.81 M5.89 M32.23 M3.79 M 8.31 M