Financials
Valor 20212022202320242025 TTM Cash from investing activities -309 K-3.71 M-600 K-187 K0 0 Cash from financing activities 32.95 M8.99 M27.04 M14.18 M28.64 M 28.64 M Free cash flow -13.51 M-24.12 M-23.34 M-24.15 M-12.71 M -12.71 M