Financials
Valor 202020212022202320242025 TTM Cash from investing activities -26.11 M-6.94 M14.91 M5.18 M7.31 M-387 K -387 K Cash from financing activities 37.96 M13.45 M83 K10.15 M468 K10.53 M 10.53 M Free cash flow -12.56 M-19.22 M-14.86 M-16.93 M-8.29 M-10.68 M -10.68 M