Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.74 M-5.28 M-3.51 M-10.21 M-6.61 M-14.97 M -14.97 M Cash from financing activities 622.33 K28.3 M-627.35 K9.64 M17.37 M8.89 M 8.89 M Free cash flow -5.68 M-5.56 M-6.3 M-3.51 M-253.08 K2.14 M 2.16 M