Financials
Valor 20202021202220232024 TTM Cash from investing activities -168.69 K-1.13 M-113.13 K-167.96 K-4.09 M -2.96 M Cash from financing activities 2.45 M6.38 M3.11 M6.84 M6.95 M 2.62 M Free cash flow -4.12 M-6.24 M-3.22 M-6.57 M-6.46 M -2.21 M