Financials
Valor 202020212022202320242025 TTM Cash from investing activities 19.07 K-6 146-5 6560—— — Cash from financing activities 7.09 M14.17 M11.63 M4.83 M592.03 K17.03 M 18.31 M Free cash flow -5.02 M-13.67 M-12.28 M-6.64 M-4.89 M-7.32 M -7.89 M