Financials
Valor 20202021202220232024 TTM Cash from investing activities -9.02 M-14.33 M8.9 M-7.79 M-7.16 M -8.07 M Cash from financing activities -22.89 M-1.89 M-7.44 M72 K-4.94 M -11.81 M Free cash flow 26.22 M-3.75 M-7.28 M2.48 M64.52 M 67.78 M