Financials
Valor 202020212022202320242025 TTM Cash from investing activities 4.84 M-22.1 M-19.37 M16.68 M-18.91 M-21.49 M -21.49 M Cash from financing activities -6.81 M32.86 M-13.42 M-32.23 M3.57 M2.43 M 2.43 M Free cash flow -2.64 M-1.84 M8.73 M9.96 M17.99 M6.64 M 6.64 M