Financials
Valor 202020212022202320242025 TTM Cash from investing activities 427 K-2.81 M-3.03 M-2.14 M-1.06 M2.17 M 2.17 M Cash from financing activities 2.74 M-1.28 M-1.38 M-614 K820 K837 K 837 K Free cash flow 2.11 M1.41 M10.75 M-13.23 M921 K-6.49 M -6.49 M