Financials
Valor 202020212022202320242025 TTM Cash from investing activities -25.64 M-14.64 M-10.88 M-59.31 M-13.97 M-26.21 M -26.21 M Cash from financing activities 2.07 M15 M380 K960 K265 K24.18 M 24.18 M Free cash flow 32.37 M18.02 M-40.87 M-8.95 M464 K-13.74 M -13.74 M