Financials
Valor 20212022202320242025 TTM Cash from investing activities -250 K-536.84 K0-14.76 M-2.03 M -2.03 M Cash from financing activities 58.39 M-102.07 K0109.29 M-15.27 K -15.27 K Free cash flow -8.8 M-13.59 M-21.05 M-14.56 M-26.42 M -26.42 M