Financials
Valor 202020212022202320242025 TTM Cash from investing activities -326 K-354 K-115 K-4.16 M-2.16 M1.28 M 1.28 M Cash from financing activities 50 M361 K-1.99 M19.76 M78 K10.26 M 10.26 M Free cash flow -14.16 M-9.32 M-14.97 M-9.89 M-2.43 M-14.91 M -14.91 M