Financials
Valor 202020212022202320242025 TTM Cash from investing activities -410 K-8.37 M-1.84 M-2.56 M-6.05 M-6.59 M -6.59 M Cash from financing activities 2.65 M4.85 M-4.29 M13.04 M-85 K1.31 M 1.31 M Free cash flow 96.31 M4.9 M-25.73 M-31.51 M6.6 M7.07 M 7.51 M