Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2 M-4.18 M-5.14 M-2.98 M-11.23 M-459 K 5.46 M Cash from financing activities 7.77 M57.25 M-17.04 M-422 K-4.55 M-1.33 M -398 K Free cash flow 1.03 M-3.13 M-17.08 M2.99 M9.37 M-9.2 M 1.03 M