Financials
Valor 202020212022202320242025 TTM Cash from investing activities -96 K-682 K-277 K-126 K-223 K-326 K -326 K Cash from financing activities 9.34 M16.27 M-225 K1.74 M-329 K903 K 903 K Free cash flow -7.58 M-7.26 M-8 M-3.69 M216 K359 K 359 K