Financials
Valor 20202021202220242025 TTM Cash from investing activities 27.35 M-15.39 M-21.12 M-32.13 M513.18 K 513.18 K Cash from financing activities 13.23 M17.44 M24.35 M36.01 M18.38 M 18.38 M Free cash flow -8.41 M-13.99 M-14.68 M698.99 K25.73 M 25.73 M