Financials
Valor 202020212022202320242025 TTM Cash from investing activities -468.68 K-183.47 K897.56 K4.73 M-7.08 M175.34 K 175.34 K Cash from financing activities -3.58 M-5.19 M-3.12 M-459.39 K-2.76 M-2.77 M -2.77 M Free cash flow 3.55 M5.2 M2.45 M2.98 M3.03 M1.91 M 1.91 M