Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.14 M-1.65 M-3.03 M-2.96 M-15.87 M-5.33 M — Cash from financing activities 814 K2.12 M-1.64 M-3.81 M9.61 M-1.24 M — Free cash flow 2.17 M2.34 M802 K6.43 M-4.97 M-4.21 M 615 K