Financials
Valor 20202021202220232024 TTM Cash from investing activities -4.26 M-136.68 K-45.66 K-484.81 K-977.82 K -711.75 K Cash from financing activities 5.91 M-885.54 K12.35 M-25.24 K4.45 M 6.34 M Free cash flow -5.31 M1.3 M-741.17 K-5.96 M-9.49 M -8.2 M