Financials
Valor 20202021202220232024 TTM Cash from investing activities -2.59 M-1.8 M-17.26 M-875 K-20.27 M -172 K Cash from financing activities -5.14 M-5.56 M18.75 M-10.97 M15.38 M -11.89 M Free cash flow 13.36 M-402 K-3.17 M11.48 M3.68 M 10.32 M