Financials
Valor 20202021202220232024 TTM Cash from investing activities -32.99 K-2.24 M-350.1 K01.76 M -400 K Cash from financing activities 2.35 M13.74 M5.66 M1.01 M3.86 M 4.74 M Free cash flow -2.53 M-9.02 M-8.35 M-947.3 K-4.1 M -6.84 M