Financials
Valor 202020212022202320242025 TTM Cash from investing activities -852.84 K-11.81 M-3.85 M2.67 M-5 421-4 334 -4 334 Cash from financing activities 238.4 K8.93 M10.84 M2.89 M-972.11 K1.74 M 1.74 M Free cash flow -4.19 M-2.04 M-9.01 M-5.38 M921.14 K-1.79 M -1.79 M