Financials
Valor 202020212022202320242025 TTM Cash from investing activities -6.76 M-1.27 M-812.24 K-834.96 K-944.38 K-1.54 M -1.54 M Cash from financing activities 9.98 M887.46 K-1.4 M-513.95 K-5.14 M28.72 M 28.72 M Free cash flow 5.44 M28.51 M-17.85 M14.08 M1.9 M-23.63 K 1.08 M