Financials
Valor 202020212022202320242025 TTM Cash from investing activities 1.02 M1.33 M4.12 M-108.06 K1.01 M639.51 K 639.51 K Cash from financing activities -502.39 K-850.2 K-850.2 K-618.33 K-318.82 K384.06 K 384.06 K Free cash flow -200.34 K-1.68 M-2.23 M-3.01 M-804.85 K-1.56 M -1.56 M