Financials
Valor 20212022202320242025 TTM Cash from investing activities -8020-52.09 K-1.18 M-7.21 M -7.21 M Cash from financing activities 18.85 M3.23 M15.46 M15.95 M107.39 M 107.39 M Free cash flow -1.59 M-7.41 M-11.42 M-15.77 M-24.66 M -24.66 M