Financials
Valor 202020212022202320242025 TTM Cash from investing activities -9.29 M-6.71 M375 K-14.71 M52.39 M3.89 M 3.89 M Cash from financing activities 7.13 M2.65 M708 K2.34 M110 K-1.69 M -1.69 M Free cash flow -17.22 M-15.89 M-5.55 M-9.4 M-20.66 M9.72 M 7.07 M