Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.06 M-444 K-698 K-1.68 M479 K-6.29 M -6.29 M Cash from financing activities -29.77 M-4.26 M-2.74 M-2.44 M-4.27 M-5.3 M -5.3 M Free cash flow 32.96 M10.75 M-2.55 M2.58 M11.35 M20.87 M 20.87 M