Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.6 M-1.72 M-1.8 M-2.27 M9.88 M-1.06 M -1.06 M Cash from financing activities 131 K1.33 M3.49 M-3.02 M-1.66 M4.53 M 4.53 M Free cash flow 7.2 M907 K-6.84 M5.58 M-1.8 M-21.42 M -21.42 M