Financials
Valor 20202021202220232024 TTM Cash from investing activities -34.96 M-37.28 M-12.96 M-43.03 M-57.98 M — Cash from financing activities 86.23 M90.88 M15.63 M544.96 K92.87 M — Free cash flow -10.34 M5.18 M-34.35 M2.89 M74.13 M -823.85 K