Financials
Valor 202020212022202320242025 TTM Cash from investing activities 976 K90 K701 K-4.41 M3.94 M-1.78 M -1.78 M Cash from financing activities 65 K1.92 M2.05 M7.56 M1.27 M5.35 M 5.35 M Free cash flow -1.01 M-2.16 M-2.9 M-3.26 M-5.1 M-3.6 M -3.57 M