Financials
Valor 202020212022202320242025 TTM Cash from investing activities -414.36 K-19.14 M-9.32 M-1.48 M2.06 M-6.98 M -6.98 M Cash from financing activities 5.12 M20.6 M6.4 M-474.14 K-1.6 M3.51 M 3.51 M Free cash flow -2.1 M295.93 K175.32 K-1.38 M893.74 K-260.94 K 76.99 K