Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.34 M222 K-1.3 M-901 K-322 K-1.61 M -1.61 M Cash from financing activities 11.03 M11.47 M2.06 M-87 K634 K-119 K -119 K Free cash flow -4.25 M-3.89 M-13.52 M4.61 M1.54 M6.06 M 7.56 M