Financials
Valor 202020212022202320242025 TTM Cash from investing activities 994 K-32.66 M-4.97 M50.5 M905 K50.98 M 50.98 M Cash from financing activities -19.36 M15.39 M-1.18 M-73.17 M-1.33 M-8.96 M -8.96 M Free cash flow 14.23 M17.56 M503 K20.19 M12.79 M-2.06 M -2.06 M