Financials
Valor 202020212022202320242025 TTM Cash from investing activities -14.49 M-11.21 M-12.05 M-10.52 M56.79 M-37.46 M -37.46 M Cash from financing activities -33.51 M-53.39 M-44.28 M1.54 M-116.96 M-34.05 M -34.05 M Free cash flow 38.88 M49.33 M27.98 M1.95 M33.32 M63.56 M 63.56 M