Financials
Valor 20212022202320242025 TTM Cash from investing activities -77.81 M-34.56 M-34.3 M-36.76 M-36.52 M -36.52 M Cash from financing activities 213.49 M-37.28 M-1.2 M-207 K-10.58 M -10.58 M Free cash flow -786 K-11.15 M34.53 M27.06 M125.03 M 125.03 M