Financials
Valor 202020212022202320242025 TTM Cash from investing activities -7 230-90.87 K5.21 M6.6 M-245.61 K-19.5 M -19.5 M Cash from financing activities 6.7 M13.08 M-208.79 K16.44 M83.56 M29.57 K 29.57 K Free cash flow -6.06 M-6.57 M-12.77 M-13.96 M-26.84 M-43.07 M -43.07 M