Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.42 M-3.65 M-2.63 M-4.66 M-6.15 M-9.32 M — Cash from financing activities 2.33 M-744 K2.2 M-619 K-635 K-647 K — Free cash flow 4.86 M3.76 M-9.08 M2.72 M-1.04 M4.96 M 6.7 M