Financials
Valor 2021202220232024 TTM Cash from investing activities -3.48 M320.53 K-569.61 K-464.78 K -240.33 K Cash from financing activities 9.76 M-373.83 K-168.34 K-123.72 K 3.95 M Free cash flow -12.53 M-619.66 K-664.44 K498.7 K -1.31 M