Financials
Valor 20212022202320242025 TTM Cash from investing activities -882.11 K-10.09 M-2.84 M-8.09 M-2.21 M — Cash from financing activities 3.1 M21.94 M9.85 M55.36 M13.94 M — Free cash flow -3.08 M-8.24 M-12.41 M-46.35 M-10.65 M —