Financials
Valor 2020202120222023 TTM Cash from investing activities -11.38 M-24.29 M-87.35 M-50.82 M -71.47 M Cash from financing activities -8.48 M-98.83 M-15.79 M20.38 M -31.72 M Free cash flow 1.85 M103.92 M73.36 M-20.17 M 32.77 M