Financials
Valor 20212022202320242025 TTM Cash from investing activities -8.04 M-195.61 K-6.63 M-1.86 M-1.59 M -1.59 M Cash from financing activities 16.07 M20.87 M6.82 M-213.74 K2.41 M 2.41 M Free cash flow -3.89 M-7.51 M-12.1 M-13.32 M-9.04 M -9.04 M