Financials
Valor 20202021202220232024 TTM Cash from investing activities -19.54 M-40.24 M-69.52 M-26.37 M-5.55 M -10.88 M Cash from financing activities 116.22 M-6.32 M-7.9 M-7.03 M-19.08 M -9.78 M Free cash flow -27.09 M-10.94 M-3.12 M-44.81 M26.6 M 49.75 M