Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.62 M-8.13 M-573 K-547 K-8.93 M-4.34 M -4.34 M Cash from financing activities 27.55 M65.77 M61.94 M18.25 M38.53 M24.31 M 24.31 M Free cash flow -17.85 M-50.67 M-48.42 M-30.96 M-38.7 M-26.08 M -26.08 M