Financials
Valor 202020212022202320242025 TTM Cash from investing activities -24.96 M-8.85 M-14.6 M-7.17 M16.36 M1.89 M 1.89 M Cash from financing activities 31.61 M78.3 M-7.19 M-939 K05.32 M 5.32 M Free cash flow -4.02 M-6.6 M-10.6 M-22.23 M-15.12 M22.72 M 22.72 M