Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.58 M-57.27 M-54.71 M-10.33 M-13.16 M-31.85 M -31.85 M Cash from financing activities 83 K59.38 M42.94 M21.86 M18.32 M119.39 M 119.39 M Free cash flow 787 K-42.72 M-69.88 M-15.75 M-14.33 M-37.35 M -37.35 M