Financials
Valor 202020212022202320242025 TTM Cash from investing activities 856.29 K-24.72 M-11.41 M-14.77 M-53.87 M-4.61 M -4.61 M Cash from financing activities 1.02 M25 M1.69 M20.5 M42.17 M7.5 M 7.5 M Free cash flow -2.3 M-16.38 M15.35 M-11.98 M6.16 M-4 M -3.95 M