Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.59 M-3.09 M-2.37 M-2.1 M-20.76 M-61.46 M -61.46 M Cash from financing activities 4.4 M3.88 M3.85 M647.19 K8.74 M51.14 M 51.14 M Free cash flow -985.3 K-4.44 M-3.26 M1.33 M8.62 M12.39 M 12.39 M