Financials
Valor 202020212022202320242025 TTM Cash from investing activities -276 K-11.6 M7.88 M-5.11 M7.64 M254 K 254 K Cash from financing activities 4.51 M22.56 M013.81 M9.82 M21.14 M 21.14 M Free cash flow -4.46 M-6.48 M-6.21 M-10.12 M-8.27 M-13.76 M -13.76 M