Financials
Valor 202020212022202320242025 TTM Cash from investing activities -921 K650 K-1.7 M3.7 M-27 K-18 K -18 K Cash from financing activities 13.67 M-9.87 M-54 K-2.31 M1.59 M3.88 M 3.88 M Free cash flow 471 K-1.53 M-1.58 M3.41 M6.26 M9.28 M 9.28 M