Financials
Valor 202020212022202320242025 TTM Cash from investing activities -27 K-277 K-18.03 M-153 K-616 K11.81 M 11.81 M Cash from financing activities -574 K-146 K-4.91 M-2.08 M-4 M-13.55 M -13.55 M Free cash flow 4.36 M4.67 M3.95 M-20.32 M2.54 M366 K 366 K