Financials
Valor 202020212022202320242025 TTM Cash from investing activities -26 K-14.51 M9.5 M498 K1.5 M-2 000 — Cash from financing activities 17.68 M20.46 M09.14 M6.71 M9.64 M — Free cash flow -12.09 M-9.87 M-10.81 M-8.44 M-7.64 M-8.95 M —