Financials
Valor 20202021202220232024 TTM Cash from investing activities -4.18 M-33.59 M-4.83 M-5.98 M-3.9 M -3.06 M Cash from financing activities 31.43 M10.26 M-23.45 M-10.77 M-3.74 M -6.29 M Free cash flow 29.14 M-24.54 M25.85 M18.38 M-2.54 M -387 K