Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.57 M-238.18 K-1.66 M-2.4 M-1.89 M-3.1 M -3.1 M Cash from financing activities 3.58 M4.57 M1.54 M1.65 M2.33 M15.18 M 15.18 M Free cash flow -2.37 M-723.5 K-244.01 K263.19 K-1.54 M-16.71 M -8.05 M