Financials
Valor 202020212022202320242025 TTM Cash from investing activities 285.3 K2.05 M-6.05 M-160.16 K-83.09 K-7 491 -7 491 Cash from financing activities 4.74 M2.86 M15.78 M6.19 M3.91 M8.68 M 8.68 M Free cash flow -1.7 M-7.39 M-11.19 M-6.13 M-3.92 M-7.98 M -7.98 M