Financials
Valor 202020212022202320242025 TTM Cash from investing activities 2.54 M-600.36 K-11.34 M8.89 M-3.06 M-2.86 M -2.86 M Cash from financing activities 43.37 M59.86 M021.63 M-10.86 M-551.88 K -551.88 K Free cash flow -10.54 M-27.23 M-20.37 M-28.37 M-13.51 M-11.8 M -7.7 M