Financials
Valor 202020212022202320242025 TTM Cash from investing activities -256 K-7.52 M-1.92 M-8.91 M-8.12 M-7.7 M -7.7 M Cash from financing activities -3.2 M3.01 M-2.25 M-3.88 M-1.91 M-2.45 M -2.45 M Free cash flow 568 K-2.91 M10.77 M-3.54 M4.55 M462 K 462 K