Financials
Valor 202020212022202320242025 TTM Cash from investing activities 16.47 M-27.73 M22.58 M16.82 M-139 K-505 K -505 K Cash from financing activities -304 K50.88 M30.82 M37.21 M16.85 M10.96 M 10.96 M Free cash flow -16.14 M-23.91 M-56.14 M-60.6 M-14.51 M-8.6 M -8.6 M