Financials
Valor 20212022202320242025 TTM Cash from investing activities -11 K-5.16 M619 K-3 0003 M 3 M Cash from financing activities 43.19 M14.02 M8.41 M14.84 M10.85 M 10.85 M Free cash flow -26.71 M-16.2 M-24.9 M-10.33 M-13.36 M -13.36 M