Financials
Valor 202020212022202320242025 TTM Cash from investing activities -470 K-1.92 M-3.66 M-3.58 M-25.97 M-7.29 M -7.29 M Cash from financing activities -12.47 M5.29 M-57.35 M-47.82 M-8.15 M-20.23 M -20.23 M Free cash flow 10.22 M-3.15 M59.16 M54.97 M86.51 M-8.21 M -8.21 M