Financials
Valor 20212022202320242025 TTM Cash from investing activities -46.59 M-14.14 M-267 K17.82 M-24.39 M -24.39 M Cash from financing activities 58.8 M-14.04 M3.8 M4.29 M2.01 M 2.01 M Free cash flow 1.92 M520 K1.84 M2.74 M3.1 M 3.1 M