Financials
Valor 202020212022202320242025 TTM Cash from investing activities 20.11 K452.61 K-2 3232 8430— — Cash from financing activities 10.6 M9.74 M8.55 M13.57 M99.87 M38.51 M 38.51 M Free cash flow -9.28 M-10.86 M-12.02 M-5.9 M-14.81 M-35.8 M -35.8 M