Financials
Valor 20202021202220232024 TTM Cash from investing activities -11 K-54.59 M13.96 M23.34 M18.21 M 1.09 M Cash from financing activities 64.47 M83.13 M-1.82 M1.03 M26.69 M 16.04 M Free cash flow -54.54 M-15.9 M-18.54 M-39.34 M-26.77 M -19.53 M