Financials
Valor 20202021202220232024 TTM Cash from investing activities -8.26 M-22.24 M-27.57 M-10.64 M-11.38 M -2.15 M Cash from financing activities 5.4 M176.22 M188.75 M110.96 M90.23 M 96.33 M Free cash flow -62.76 M-135.21 M-157.83 M-80.04 M-52.65 M 14.12 M