Financials
Valor 202020212022202320242025 TTM Cash from investing activities 7.07 M-2.51 M-686.05 K-77.36 K1.11 M476.8 K — Cash from financing activities 4.44 M145.36 M17.82 M-5.37 M3.77 M4.45 M — Free cash flow -29.46 M-45.92 M-49.3 M-28.54 M-29.73 M-15.67 M -12.63 M