Financials
Valor 20212022202320242025 TTM Cash from investing activities 19.27 M-89.94 M18.68 M20.77 M-20.59 M — Cash from financing activities 111 K96.91 M5.3 M25 K45.77 M — Free cash flow -14.74 M-24.78 M-24.36 M-22.02 M-32.76 M -19.14 M