Financials
Valor 20202022202320242025 TTM Cash from investing activities -44 K-3 M-2.3 M-661.48 K-3.66 M -3.66 M Cash from financing activities 266.77 K5.38 M16.73 M9.43 M26.17 M 26.17 M Free cash flow -94.54 K-1.44 M-16.34 M-10.16 M-22.2 M -22.2 M