Financials
Valor 202020212022202320242025 TTM Cash from investing activities -151 K-353 K-198 K-18 K-2.25 M5.91 M -5.25 M Cash from financing activities 9.11 M37.16 M1.28 M-5.1 M5.22 M12.17 M 38.85 M Free cash flow -7.66 M-12.21 M-20.75 M79 K-4.4 M-10.22 M -20.98 M