Financials
Valor 20202021202220232024 TTM Cash from investing activities -1.96 M-2.25 M-6.38 M-11.1 M-2.85 M -9.7 M Cash from financing activities -4.14 M6.23 M4.54 M-3.26 M-907 K 1.86 M Free cash flow -1.8 M-4.84 M-8.22 M3.63 M11.05 M 12.27 M