Financials
Valor 202020212022202320242025 TTM Cash from investing activities 68 K-14 K-338 K-887 K-556 K-1.17 M -1.17 M Cash from financing activities 8.6 M75.62 M63.39 M133 K19.05 M23.27 M 23.27 M Free cash flow -17.15 M-9.2 M-19.13 M-24.59 M-21.34 M-25.49 M -25.49 M