Financials
Valor 202020212022202320242025 TTM Cash from investing activities 102 K-45.19 M19.53 M15.88 M2.3 M5.39 M — Cash from financing activities 297 K61.07 M-808 K3.5 M9.87 M7.16 M — Free cash flow -12.75 M-12.61 M-20.44 M-23.61 M-15.39 M-11.13 M 8 M