Financials
Valor 202020212022202320242025 TTM Cash from investing activities ——-4.92 M4.93 M-14.34 M-63.45 M -63.45 M Cash from financing activities 8.18 M10.88 M32.87 K2.03 M59.29 M91.57 M 91.57 M Free cash flow -4.66 M7.32 M-7.23 M-7.86 M-6.4 M-12.2 M -12.2 M