Financials
Valor 202020212022202320242025 TTM Cash from investing activities -517 K-913 K-2.52 M-995 K-159 K-562 K -562 K Cash from financing activities 28.46 M30.11 M11.56 M3.97 M83.59 M102.62 M 102.62 M Free cash flow -45.98 M-33.89 M-12.31 M-7.38 M-35.92 M-52.99 M -52.99 M