Financials
Valor 202020212022202320242025 TTM Cash from investing activities ——0——-1.68 M — Cash from financing activities -515.9 K-61.05 K10.12 K412.5 K353.5 K1.04 M 1.04 M Free cash flow 446.97 K35.84 K-789.34 K-457.81 K-349.83 K-799.88 K 878.44 K