Financials
Valor 202020212022202320242025 TTM Cash from investing activities -3.47 M-5.47 M552 K-1.54 M895 K-144 K -144 K Cash from financing activities 5.82 M17.11 M001.15 M1.23 M 1.23 M Free cash flow -1.17 M-10.33 M-3.19 M-2.09 M-2.06 M-1.59 M -1.59 M