Financials
Valor 20202021202220232024 TTM Cash from investing activities -238.49 K-26.07 K-74.82 K-376-4 115 -22.49 K Cash from financing activities 5.17 M5.41 M17.34 M-295.33 K7.78 M 7.11 M Free cash flow -4.29 M-5.86 M-8.69 M-8.2 M-8.18 M -7.25 M