Financials
Valor 202020212022202320242025 TTM Cash from investing activities -824 K-1.3 M-2.21 M-8.13 M-1.88 M-542 K -542 K Cash from financing activities 23.21 M25.52 M44.02 M53.99 M34.96 M25.61 M 25.61 M Free cash flow -19.09 M-24.88 M-34.69 M-55.57 M-39.43 M-26.3 M -26.3 M