Financials
Valor 20212022202320242025 TTM Cash from investing activities —167.55 K188.88 M-10.02 M-17.77 M -17.77 M Cash from financing activities —0-188.13 M61.93 M17.23 M 17.23 M Free cash flow —-1.72 M-1.98 M-24.28 M-5.65 M -5.63 M