Financials
Valor 20202021202220232024 TTM Cash from investing activities -476 K-6.86 M-29.96 M-8.56 M-2.7 M -3.46 M Cash from financing activities -37.98 M-8.82 M1.32 M-22.76 M-11.15 M -28.35 M Free cash flow 67.05 M12.52 M-25.92 M48.66 M-26.26 M -7.8 M