Financials
Valor 20202021202220232024 TTM Cash from investing activities -21.26 M-44.22 M-14.42 M17.71 M-15.58 M -32.58 M Cash from financing activities 41.57 M5.77 M15.78 M-19.43 M18.05 M 27.8 M Free cash flow 1.37 M791.44 K1.92 M-1.85 M1.27 M 2.1 M