Financials
Valor 20212022202320242025 TTM Cash from investing activities -94.21 K-14.77 M10.22 M4.98 M4.98 M — Cash from financing activities 41.77 M-78.77 K12.64 M13.01 M28.45 M 28.45 M Free cash flow -12.46 M-14.81 M-18.88 M-18.9 M-18.49 M -18.47 M