Financials
Valor 202020212022202320242025 TTM Cash from investing activities ——302.98 M-1.17 M-1.17 M-16.72 M -16.72 M Cash from financing activities —-17 K-302.27 M17.98 M4.68 M58.13 M 58.13 M Free cash flow —-1.75 M-1.18 M-18.71 M-6.62 M-20.8 M -20.8 M