Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.05 M-718 K-814 K-6.34 M-6.46 M-3.69 M — Cash from financing activities 9 M434 K4.47 M6.9 M3.71 M3.91 M — Free cash flow -7.8 M-3.58 M-4.87 M-1.49 M-6.44 M-6.95 M —