Financials
Valor 20202021202220232024 TTM Cash from investing activities -2.26 M35.67 M-2.54 M-945 K-7.45 M -7.45 M Cash from financing activities -12.32 M12.7 M-5.06 M-10.37 M-1.04 M -4.18 M Free cash flow -7.33 M-57.54 M1.24 M65.58 M109.79 M 45.5 M