Financials
Valor 202020212022202320242025 TTM Cash from investing activities -640 K-369 K-540 K14.21 M-474 K78.56 M 78.56 M Cash from financing activities 51.21 M6.71 M8.54 M9.84 M17.09 M-10.64 M -10.64 M Free cash flow -14.27 M-15.81 M-21.97 M-22.11 M-23.31 M-46.69 M -46.69 M