Financials
Valor 20202021202220232024 TTM Cash from investing activities -8.85 M13.33 M-39.48 M-16.6 M6.12 M -1.17 M Cash from financing activities 15.21 M-11.8 M20.68 M28.18 M-4.84 M -156 K Free cash flow 1.48 M2.49 M1.02 M-1.52 M-235 K -114 K