Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.77 M3.2 M-3.84 M1.97 M1.54 M-72.38 M -72.38 M Cash from financing activities -3.38 M04.32 M6.56 M7.94 M86.24 M 86.24 M Free cash flow -7.34 M-9.42 M-11.63 M-8.57 M-8.85 M-13.11 M -13.11 M