Financials
Valor 202020212022202320242025 TTM Cash from investing activities -482 K-168 K-10.74 M8.95 M-275 K615 K 615 K Cash from financing activities 22.69 M46.88 M409 K296 K6.19 M50.18 M 50.18 M Free cash flow -7.85 M-12.87 M-17.31 M-14.77 M-9.22 M-24.45 M -24.45 M