Financials
Valor 20212022202320242025 TTM Cash from investing activities -388.95 K-11.65 M-2.07 M-533 K3.23 M 3.23 M Cash from financing activities 37.8 M-2.91 M-825.31 K-928 K-1.17 M -1.17 M Free cash flow -6.22 M-4.1 M-5.36 M2.16 M-5.5 M -5.5 M