Financials
Valor 202020212022202320242025 TTM Cash from investing activities 242 K242 K-21 K4.4 M00 — Cash from financing activities 19.47 M26.98 M14.75 M12 M52.61 M77.44 M 77.44 M Free cash flow -18 M-19.31 M-16.04 M-19.08 M-25.31 M-25.25 M -25.25 M