Financials
Valor 20212022202320242025 TTM Cash from investing activities -862 K-4.11 M-221 K-646 K-197 K -197 K Cash from financing activities 72.08 M2.61 M29.46 M48.25 M59.03 M 59.03 M Free cash flow -18.53 M-32.88 M-32.82 M-44.49 M-46.68 M -46.48 M