Financials
Valor 202020212022202320242025 TTM Cash from investing activities 4.51 M-10.2 M-7.52 M-15.87 M10.87 M-9.39 M -9.39 M Cash from financing activities 7 M3.06 M78 K2.46 M-9.15 M2.03 M 2.03 M Free cash flow 9.14 M-4.06 M6.27 M12.76 M7.61 M-2.33 M -2.33 M