Financials
Valor 202020212022202320242025 TTM Cash from investing activities -16.14 K-19.53 M179.27 K-930.21 K3.37 M11.06 M 11.06 M Cash from financing activities 23.66 M63.42 M-2.18 M-500 K66.71 K1.5 M 1.5 M Free cash flow -5.65 M-10.59 M-12.8 M-14.37 M-17.83 M-15.68 M -15.68 M