Financials
Valor 20212022202320242025 TTM Cash from investing activities -506 K-72.44 M29.86 M19.81 M-7.03 M -7.03 M Cash from financing activities 77.15 M29 M233 K13.59 M40.3 M 40.3 M Free cash flow -32.75 M-48.13 M-52.47 M-35.76 M-18.8 M -18.8 M