Financials
Valor 20202021202220232024 TTM Cash from investing activities 3.29 M4.2 M6.68 M2.76 M11.35 M -340 K Cash from financing activities 4.69 M2.37 M402 K1.81 M633 K 68.06 M Free cash flow -15.46 M-14.6 M-17.16 M-18 M-13.02 M -12.47 M