Financials
Valor 202020212022202320242025 TTM Cash from investing activities 0-43.88 K-115.52 K-936.28 K0— — Cash from financing activities 16.32 M23.14 M-494.92 K283.88 K5.98 M16.78 M 16.78 M Free cash flow -16.95 M-13.51 M-15.36 M-7.29 M-8.6 M-9.25 M -9.25 M