Financials
Valor 202020212022202320242025 TTM Cash from investing activities 1.75 M-1.65 M-1.1 M-501 K-194 K913 K 913 K Cash from financing activities 30.93 M705 K3.34 M11.71 M9.09 M8.2 M 8.2 M Free cash flow -9.47 M-13.87 M-11.67 M-14.64 M-9.33 M-8.76 M -8.76 M