Financials
Valor 202020212022202320242025 TTM Cash from investing activities -145 K-14.83 M-29.01 M-16.73 M-101.41 M24.78 M 24.78 M Cash from financing activities 346.28 M85.36 M-19.19 M-16.81 M79.43 M-37.25 M -37.25 M Free cash flow -20.03 M-52.13 M-63.49 M-34.16 M-42.16 M-3.75 M -3.75 M