Financials
Valor 20202021202220232024 TTM Cash from investing activities -2.78 M-3.25 M-117 K-329 K-2.56 M -3.1 M Cash from financing activities 30.31 M1.53 M8.87 M-1.26 M15.44 M 13.32 M Free cash flow -25.96 M-28.82 M-5.13 M-1.39 M-5.17 M -612 K