Financials
Valor 202020212022202320242025 TTM Cash from investing activities -17.7 M112 K5.33 M-1.01 M-1.82 M-1.98 M -1.98 M Cash from financing activities 3.73 M-372 K38.27 M5.93 M-3.12 M-3.74 M -3.74 M Free cash flow -49.27 M-25.88 M-45.05 M-11.3 M3.36 M7.2 M 7.2 M