Financials
Valor 202020212022202320242025 TTM Cash from investing activities -306.82 K-1.82 M-16.97 M3.08 M-3.38 M-311 K -311 K Cash from financing activities 31.61 M120.68 M59.48 M20.88 M64.86 M17.33 M 17.33 M Free cash flow -15.02 M-48.88 M-64.54 M-72.53 M-45.53 M-57.15 M -57.15 M