Financials
Valor 20212022202320242025 TTM Cash from investing activities -179.03 K-12.2 K-1.78 M6.35 M5.76 M 1.09 M Cash from financing activities -257.35 K8.92 M136.19 K-318.65 K-1.84 M 1.76 M Free cash flow 730.15 K-4.87 M-4.86 M-4.78 M-3.97 M 7.19 M