Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.95 M-2.3 M-24.64 M710.19 K-83.23 K5.33 M 5.33 M Cash from financing activities 3.12 M8.64 M25.12 M966.92 K1.66 M-1.3 M -1.3 M Free cash flow -468.46 K-2.94 M-4.14 M-1.04 M-2.6 M-3.14 M -3.14 M