Financials
Valor 202020212022202320242025 TTM Cash from investing activities 393 K1.33 M268 K93 K3 00014 K — Cash from financing activities 8.82 M49.8 M7.85 M10.69 M13.13 M22.41 M — Free cash flow 12.44 M21.93 M25.77 M17.69 M12.94 M6.63 M —