Financials
Valor 202020212022202320242025 TTM Cash from investing activities 5.5 M-730 K-2.43 M-1.28 M-1.26 M-157 K -157 K Cash from financing activities -3.96 M3.93 M-2.67 M-1.28 M2.77 M-1.87 M -1.87 M Free cash flow 844 K-5.9 M2.96 M485 K-3.52 M2.08 M 2.08 M