Financials
Valor 202020212022202320242025 TTM Cash from investing activities 110 K-1.8 M-661 K-105 K780 K120 K 120 K Cash from financing activities -384 K0—1.18 M2.6 M2.31 M 2.31 M Free cash flow -280 K-256 K-829 K-1.26 M-1.23 M-1.36 M -1.35 M