Financials
Valor 202020212022202320242025 TTM Cash from investing activities 16.54 M11.46 M17.56 M800 K-1.11 M-3.38 M — Cash from financing activities 768 K17.37 M70 K6.18 M8.79 M9.03 M — Free cash flow -26.33 M-32.9 M-18.5 M-6.14 M-5.88 M-6.32 M -4.74 M