Financials
Valor 202020212022202320242025 TTM Cash from investing activities -512 K264 K-669 K-4.5 M-735 K-6.73 M -6.73 M Cash from financing activities -4.53 M95 K-1.57 M-4.2 M-11.56 M-3.68 M -3.68 M Free cash flow 16.79 M-16.55 M-9.86 M-2.91 M-3.73 M7.15 M 7.83 M