Financials
Valor 202020212022202320242025 TTM Cash from investing activities -250 K0-10.08 M3.45 M6.32 M-50.5 K -50.5 K Cash from financing activities 693.92 K12.84 M15.47 M-270.95 K1.45 M7.17 M 7.17 M Free cash flow -434.56 K-2.52 M-7.8 M-8.03 M-5.3 M-5.86 M -5.86 M