Financials
Valor 20202021202220232024 TTM Cash from investing activities -2.85 M-7.79 M-11.95 M-35.22 M-28.53 M -8.23 M Cash from financing activities -8.05 M-4.87 M-681 K48.7 M18.68 M 17.17 M Free cash flow 14.45 M997 K-6.98 M27.86 M-7.25 M 16.08 M