Financials
Valor 202020212022202320242025 TTM Cash from investing activities -217.98 K-1.12 M-2.21 M-2.96 M-2.7 M-1.82 M -1.82 M Cash from financing activities 6.16 M31.28 M13.35 M22.52 M14.48 M56.92 M 56.92 M Free cash flow -5.09 M-11.15 M-12.03 M-15.84 M-18.25 M-15.57 M -15.57 M