Financials
Valor 20202021202220232024 TTM Cash from investing activities -3.71 M-1.24 M-885 K-2.23 M-238 K 9.51 M Cash from financing activities 3.09 M-790 K-2.49 M-4.27 M-292 K -8.08 M Free cash flow -3.88 M-2.52 M5.46 M6.2 M-1.68 M 6.12 M