Financials
Valor 20212022202320242025 TTM Cash from investing activities -737 K-15.81 M-26.4 M-46.32 M50.75 M 50.75 M Cash from financing activities 94.72 M1.18 M-15.94 M-376 K-697 K -697 K Free cash flow -29.82 M-22.98 M-27.1 M-30.85 M-24.64 M -24.64 M