Financials
Valor 202020212022202320242025 TTM Cash from investing activities -23.32 M-6.47 M56.34 M-2.38 M-3.83 M-3.39 M -2.6 M Cash from financing activities 15.35 M7.41 M-32.56 M-2.23 M-1.15 M-270 K -430 K Free cash flow -14.56 M-12.23 M-11.6 M1.38 M-4.4 M-9.29 M 115 K