Financials
Valor 202020212022202320242025 TTM Cash from investing activities 2.63 M-237 K4.72 M-2.5 M38.88 M3.9 M — Cash from financing activities 337 K6.71 M-353 K-323 K5.38 M16.95 M — Free cash flow -3.61 M-2.58 M-7.28 M-6.39 M-9.97 M3.14 M -2.54 M