Financials
Valor 20202021202220232024 TTM Cash from investing activities 339 K-19.25 M15.47 M-105.7 M-114.99 M -88.09 M Cash from financing activities -16.74 M-18 K-32.4 M-18.8 M-9.43 M -18.25 M Free cash flow 5.86 M7.89 M17.15 M-4.76 M-3.33 M 19.65 M