Financials
Valor 202020212022202320242025 TTM Cash from investing activities -822.77 K-638.98 K33.69 K1.07 M-1.87 M-919.59 K -919.59 K Cash from financing activities 2.31 M14.46 M-4.28 M2.87 M-30.9 M-15.61 M -15.61 M Free cash flow 1.61 M-6.65 M6.79 M2.45 M11.38 M15.08 M 15.33 M