Financials
Valor 20202021202220232024 TTM Cash from investing activities -9.86 M-3.52 M13.15 M104 K0 0 Cash from financing activities 59.49 M0304 K7.36 M14.03 M 17.75 M Free cash flow -14.32 M-17.23 M-15.91 M-12.36 M-14.9 M -10.13 M