Financials
Valor 202020212022202320242025 TTM Cash from investing activities -311.99 K-512.27 K-436.37 K-718.27 K-2.01 M-8.5 M -8.5 M Cash from financing activities -1.29 M3.36 M101.41 K-2 306-46.76 K9.44 M 9.44 M Free cash flow 1.67 M1.49 M3.11 M549.18 K-4.47 M-513.13 K -487.02 K