Financials
Valor 202020212022202320242025 TTM Cash from investing activities -87 K-542 K-168 K-186 K0-24.25 M — Cash from financing activities 42.85 M10.33 M10.57 M17.33 M4.71 M54.88 M 54.88 M Free cash flow -26.69 M-26.94 M-21.87 M-17.5 M-4.76 M-10.44 M -10.44 M