Financials
Valor 20202021202220232024 TTM Cash from investing activities 45.32 M-34.01 M-1.21 M-1.32 M-506 K — Cash from financing activities 65.58 M41.15 M-5.13 M-8.01 M-7.14 M — Free cash flow -4.93 M-2.33 M1.19 M11.58 M-439 K -4.21 M