Financials
Valor 20202021202220232024 TTM Cash from investing activities 13.84 M2.29 M17.65 M-15.41 M4.47 M — Cash from financing activities 39.69 M104.73 M-22.46 M-2.22 M-25.21 M — Free cash flow -42.27 M-57.95 M-46.11 M-28.77 M-9.74 M -1.56 M