Financials
Valor 202020212022202320242025 TTM Cash from investing activities -58 K-67 K-52 K-123 K152 K19.3 M 19.3 M Cash from financing activities 13.61 M14.57 M4.51 M7.78 M5.78 M-11 K -11 K Free cash flow -5.81 M-7.68 M-6.81 M-6.43 M-5.63 M-10.35 M -10.35 M