Financials
Valor 202020212022202320242025 TTM Cash from investing activities -65.41 K-1.29 M-60.8 K-946.5 K-962.89 K-5 M -5 M Cash from financing activities 4.93 M4.44 M144.63 K3.36 M4.57 M6.83 M 6.83 M Free cash flow -3.55 M-1.95 M-2.27 M-3.24 M-2.76 M-5.79 M -2.09 M