Financials
Valor 202020212022202320242025 TTM Cash from investing activities -13.64 K-288.76 K-2.85 M-7.08 M-27.34 M-8.96 M -8.96 M Cash from financing activities 1.1 M1.79 M4.5 M41.21 M32.13 M51.52 M 51.52 M Free cash flow -998.68 K-2.2 M-4.33 M-12.11 M-41.63 M-28.26 M -28.26 M