Financials
Valor 20202021202220232024 TTM Cash from investing activities 242.03 K-319.17 K200 K-20 K0 -281.25 K Cash from financing activities 5.47 M1.33 M4.51 M5.19 M4.77 M 8.59 M Free cash flow -3.25 M-3.01 M-4.62 M-5.05 M-5.43 M -8.48 M