Financials
Valor 202020212022202320242025 TTM Cash from investing activities -400.65 K-639.37 K-241.45 K-216.69 K-261.53 K-135.58 K -135.58 K Cash from financing activities 124.2 K4.58 M25 K2.29 M27.5 K755.13 K 755.13 K Free cash flow 4.18 M-3.82 M-1.23 M-3.82 M-1.7 M-1.33 M -1.2 M