Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1 1910-14.62 M-656.15 K-2.32 M-836.31 K -836.31 K Cash from financing activities 1.61 M2.9 M39.47 M3.43 M9.29 M4.75 M 4.75 M Free cash flow -658.49 K-1.83 M-5.55 M-9.56 M-14.51 M-6.17 M -6.17 M