Financials
Valor 202020212022202320242025 TTM Cash from investing activities -90 K-625 K-10.15 M2.19 M-1.89 M-4.28 M -4.28 M Cash from financing activities 4.16 M13.5 M14.01 M5.22 M10.97 M18.01 M 18.01 M Free cash flow -4.82 M-5.72 M-8.48 M-7.86 M-7.86 M-13.54 M -13.54 M