Financials
Valor 20202021202220232024 TTM Cash from investing activities -607.93 K-8.73 M-2.32 M-3.17 M-1.08 M 27 K Cash from financing activities 1.17 M7.4 M-1.34 M1.47 M1.74 M -285 K Free cash flow 88.96 K-681.16 K812.54 K-1.93 M-4.72 M -4.44 M