Financials
Valor 202020212022202320242025 TTM Cash from investing activities 15.93 M3.8 M21 K-61 K-67 K167 K 167 K Cash from financing activities 21.69 M14.96 M23.36 M8.39 M8.65 M5.34 M 5.34 M Free cash flow -28.37 M-27.89 M-22.59 M-20.7 M-9.34 M-8.31 M -8.31 M