Financials
Valor 20202021202220232024 TTM Cash from investing activities -87.5 K-47.72 K-126.7 K-100 K-161.48 K — Cash from financing activities 3.72 M6.12 M3.72 M10.11 M2.36 M 6.97 M Free cash flow -5.96 M-6.7 M-5.25 M-5.41 M-6.28 M -6.69 M