Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.84 M-165.35 K1.16 M0—-300 K — Cash from financing activities 8.73 M18.19 M6.04 M11.32 M4.74 M9.31 M 9.31 M Free cash flow -6.13 M-12.09 M-9.3 M-8.45 M-6.98 M-10.1 M -9.8 M