Financials
Valor 202020212022202320242025 TTM Cash from investing activities 42.5 K-10.97 K-10.73 K0-809.43 K-29.3 K -29.3 K Cash from financing activities 288.31 K602.28 K55.66 K209.5 K-12.57 M-481.25 K -481.25 K Free cash flow -1.24 M195 K60.26 K19.23 M-4.91 M-729.41 K -729.41 K