Financials
Valor 20212022202320242025 TTM Cash from investing activities -1.1 M-1.87 M-486 K-36 K-518 K -518 K Cash from financing activities 260.67 M-69 K-6.55 M29.2 M87.78 M 87.78 M Free cash flow -81.85 M-77.59 M-69.11 M-18.41 M-5.51 M -5.51 M