Financials
Valor 202020212022202320242025 TTM Cash from investing activities -4.5 M71.8 M57.8 M49.13 M17.56 M80.44 M 80.44 M Cash from financing activities -21.66 M-78.9 M-41.35 M-16.99 M-15.29 M-27.06 M -27.06 M Free cash flow -42.31 M1.8 M-15.08 M-1.66 M-17.56 M-85.18 M -85.18 M