Financials
Valor 20212022202320242025 TTM Cash from investing activities -3.39 M-5.12 M-4 M-2.87 M-2.13 M -2.13 M Cash from financing activities -27.65 M-2.77 M-19.13 M2.23 M-1.05 M -1.05 M Free cash flow 23.93 M1.19 M11.49 M-273 K-787 K -787 K