Financials
Valor 20202021202220232024 TTM Cash from investing activities -783 K-25.75 M-7.32 M-1.48 M-6.96 M -430 K Cash from financing activities -1.47 M42.65 M3.32 M-4.36 M-6.46 M -5.88 M Free cash flow 3.52 M-11.53 M-2.44 M17.14 M6.78 M 9.63 M