Financials
Valor 20202021202220232024 TTM Cash from investing activities -2.98 M-5.11 M21.28 M-5.64 M-2.04 M -3.11 M Cash from financing activities 26.6 M56.99 M1.01 M-75 K10.32 M 8.74 M Free cash flow -24.82 M-48.1 M-35.33 M-28.74 M-2.57 M -1.05 M