Financials
Valor 2022202320242025 TTM Cash from investing activities -3.12 M-698.28 K-1.16 M-187.52 M -187.52 M Cash from financing activities 12.24 M8.03 M5.91 M215.51 M 215.51 M Free cash flow -6.98 M-9.21 M-7.07 M-10.99 M -14.39 M