Financials
Valor 202020212022202320242025 TTM Cash from investing activities -4.53 M-1.27 M-12.49 M-5.22 M-650 K0 -100 K Cash from financing activities 3.06 M22.8 M023.09 M1.18 M7.28 M 6.73 M Free cash flow -74.95 K-5.82 M-886.21 K-16.16 M-5.68 M-6.84 M -6.66 M