Financials
Valor 202020212022202320242025 TTM Cash from investing activities -17.95 K-5 748-4 422-3 901-4 188-18.17 K — Cash from financing activities 14.13 M4.51 M15.61 M4.64 M23.03 M14.57 M 14.57 M Free cash flow -7.34 M-13.54 M-10.56 M-14.14 M-17.12 M-13.83 M -13.81 M