Financials
Valor 202020212022202320242025 TTM Cash from investing activities -12.62 M-8.09 M18.77 M-37.83 M-2.18 M-912 K -1.05 M Cash from financing activities -1.5 M1.17 M-8.27 M11.74 M-10.63 M270 K 275 K Free cash flow -4.34 M-8.97 M4.07 M-10.6 M4.96 M6.93 M 8.03 M