Financials
Valor 202020212022202320242025 TTM Cash from investing activities -409 K-1.26 M77.19 M-1.67 M-14.18 M-774 K -774 K Cash from financing activities 12.14 M267 K-70.21 M-1.25 M33.9 M-1.03 M -1.03 M Free cash flow -10.05 M1.54 M829 K-6.98 M-21.13 M1.2 M 1.2 M