Financials
Valor 20202021202220232024 TTM Cash from investing activities -2.23 M-42.02 K-696.62 K-1 000-13.05 K 2 627 Cash from financing activities 24.09 M-218.6 K1.9 M1.43 M2.83 M 3.62 M Free cash flow -4.99 M-9.02 M-6.31 M-3.79 M-2.93 M -3.35 M