Financials
Valor 202020212022202320242025 TTM Cash from investing activities -757.95 K-2.5 M-9.27 M-455.35 K-17.35 M-5.45 M -5.45 M Cash from financing activities -374.14 K130.46 K-1.44 M-1.35 M-1.29 M-1.31 M -1.31 M Free cash flow 139.76 K9.72 M6.22 M3.63 M-5.5 M4.72 M 4.72 M