Financials
Valor Q4, 24Q1, 25Q2, 25Q3, 25Q4, 25 TTM Cash from investing activities 755 K000-2.48 M -2.48 M Cash from financing activities -153.88 K297.83 K287.27 K-149.52 K4.66 M 5.09 M Free cash flow -471.65 K-145.05 K-430.12 K34.19 K-397.27 K -938.25 K