Financials
Valor 202020212022202320242025 TTM Cash from investing activities -415.88 K-662 K-5.07 M-414 K2.9 M-265 K -265 K Cash from financing activities 10.21 M76 K97 K-155 K485 K708 K 708 K Free cash flow -463.92 K454 K-3.67 M-1.15 M-4.8 M4.28 M 4.28 M