Financials
Valor 202020212022202320242025 TTM Cash from investing activities 39.21 M-949 K-21.24 M12 M—— — Cash from financing activities 10.12 M59.13 M7.21 M19.8 M87.09 M-660 K -660 K Free cash flow -48.62 M-8.61 M-60.97 M-53.99 M-10.84 M-25.01 M -25.01 M