Financials
Valor 202020212022202320242025 TTM Cash from investing activities -345 K-166 K20 K-341 K-256 K-428 K -486 K Cash from financing activities 832 K-954 K1.33 M-2.4 M1.38 M-5.04 M -2.92 M Free cash flow 14 K1.8 M2.44 M3.63 M4.01 M1.89 M -2.82 M