Financials
Valor 202020212022202320242025 TTM Cash from investing activities -67.16 K-236.94 K-312.74 K-522.95 K-506.43 K-449.49 K -449.49 K Cash from financing activities 3.19 M24.53 M-127.87 K-216.26 K16.62 M-128.83 K -128.83 K Free cash flow -3.09 M-4.52 M-6.7 M-7.65 M-9.25 M-9.58 M -9.58 M