Financials
Valor 20202021202220232024 TTM Cash from investing activities -92.96 M-1.57 M-3.2 M-55.25 M-27.97 M -28.52 M Cash from financing activities 63.58 M5.63 M-47.15 M14.31 M-11.43 M -12.66 M Free cash flow 25.78 M-5.99 M46.38 M38 M34.65 M 37.75 M