Financials
Valor 20212022202320242025 TTM Cash from investing activities -52.8 M-72.18 M-31.15 M8.8 M7.68 M 7.68 M Cash from financing activities 64.88 M56.07 M33 M-10.51 M-15.89 M -15.89 M Free cash flow 1.62 M2.74 M-3.31 M740 K973 K 973 K