Financials
Valor 202020212022202320242025 TTM Cash from investing activities 1.45 M-23.96 M-18.89 M2.3 M379.42 K-19.54 M -19.54 M Cash from financing activities 12.56 M41.48 M-299.03 K-731.03 K12.54 M31.58 M 31.58 M Free cash flow -3.52 M3.47 M-9.15 M-5.03 M-13.68 M-16.19 M -16.19 M