Financials
Valor 202020212022202320242025 TTM Cash from investing activities -24.54 M-21.85 M-72.38 M-14.1 M16.69 M-8.77 M -8.77 M Cash from financing activities -3.77 M73.74 M-1.31 M-859 K-1.3 M20.11 M 20.11 M Free cash flow -11.31 M-29 M-36.26 M4.75 M-10.29 M12.3 M 12.3 M