Financials
Valor 202020212022202320242025 TTM Cash from investing activities -14.68 M-18.83 M-22.81 M-24.57 M-76.12 M-32.53 M -29.42 M Cash from financing activities -8.75 M-11.32 M4.7 M-9.52 M8.33 M-21.74 M -22.63 M Free cash flow 27.72 M-5.2 M-12.99 M25.4 M28.31 M47.62 M 46.72 M