Financials
Valor 202020212022202320242025 TTM Cash from investing activities 13 K0-74 K-16 K-1 000-151 K 12 K Cash from financing activities 99 K0-4.22 M-3.38 M-2.78 M3.97 M 4.03 M Free cash flow -53 K-74 K3.16 M918 K1.54 M-3.46 M -2.76 M